An exciting opportunity to work for a dynamic, innovative leading UK consumer credit and tech company, this role is part of an outstanding Treasury team that is responsible for all funding, cash management, cash forecasting and product control for £4bn+ of assets.
Role Description
- Funding deal design and execution, encompassing all legal, rating agency, modelling, data, negotiation, marketing and settlement workstreams.
- Relationship management, including lawyers, rating agencies, banks, investors and internal partners.
- Post-deal support, including being a subject matter specialist on securitisations, acting as liaison with internal and external parties, and contributing to review and oversight of monthly securitisation and regulatory reports.
- Working with business teams towards designing financing for new and existing products, and reviewing and understanding current and future asset performance and adapting the funding strategy accordingly.
- Recommendations and input into funding strategy.
- Assisting with all other aspects of the Treasury Markets function, including hedging strategy and execution and handling the high yield bond activities.
Role Requirements
- Strong modelling, securitisation structuring and technical skills, with an analytical mind that can digest sophisticated problems/projects/structures/ideas.
- Securitisation funding, with demonstrable track record in all aspects of the role including driving projects independently.
- Having a Risk and control mentality and high attention to detail.
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