Work closely with Finance team members and assist with projects and tasks across Strategic Finance, Investor Relations, Treasury, and Capital Markets that will directly impact our company-wide priorities.
Work across various teams to prepare weekly cash forecasts and other cash and borrowing projection models; coordinate with teams to identify and mitigate forecasting variances
Recommend and implement solutions to strengthen operational controls and incorporate best practices.
Treasury Operations
Operational management of securitization transactions and funding
Treasury responsibilities including cash management strategy and execution, reporting and driving special projects
Perform transactional reconciliations; research and resolve discrepancies
Support securitization reporting, waterfall review, and P&L review
Interface with various external securitization deal parties including originators, servicers, buy-side accounts, custodians, rating agencies, among others
Compliance testing and calculations
Vendor and Partner management
Requirements
Financial services experience and/or general fixed income/capital markets experience. Experience in treasury and/or investment fund operations
Strong interest in automation, data analysis and financial operations
Continuously Learn - We challenge ourselves for the sake of getting better as individuals, as teams, and as an organization to deliver for our partners.
Debate and Commit - We respectfully and openly debate to strengthen our ideas and build shared conviction - once we decide, we go all in, together.
Dream Big and Act - We boldly tackle complex problems, pressure-test solutions in real-time, and adapt with speed and energy.
Advance Inclusion - We create a world where everyone can win, designing systems that better represent people and generate sustainable value for our employees, partners and investors.
Be Accountable Together - We proudly own our actions and our results, taking initiative to ensure our work gets over the finish line as a team.