Job Search and Career Advice Platform

Enable job alerts via email!

Treasury Secured Funding Specialist

Empirical Search

Greater London

On-site

GBP 70,000 - 90,000

Full time

9 days ago

Generate a tailored resume in minutes

Land an interview and earn more. Learn more

Job summary

A leading finance firm in Greater London is seeking a qualified individual to manage transactions and funding solutions, while ensuring compliance with risk frameworks. The ideal candidate possesses strong analytical skills, project management experience, and excels in communication. Responsibilities include structuring tailored financial solutions, engaging with investors, and contributing to various reporting cycles. Strong Excel skills are a must, along with experience in securitisation funding. This role offers a dynamic environment within a compliance-focused treasury function.

Qualifications

  • Good modelling and technical skills to handle complex projects.
  • Experience in securitisation funding is essential.
  • Proven project management experience is required.

Responsibilities

  • Structure transactions with tailored features and funding solutions.
  • Review legal documents and liaise with external law firms.
  • Lead rating agency processes and create data presentations.
  • Manage marketing strategies and engage with investors proactively.
  • Ensure detailed compliance with risk and control frameworks.
  • Contribute to monthly reporting and keep databases updated.
  • Collaborate with various teams on projects and support Treasury Operations.

Skills

Analytical mind
Strong risk and control mentality
Excellent communication skills
Strong Excel user
Job description
Role Description
  • Structuring transactions with an emphasis on conceiving and building customised features and structures appropriate to the business, and crafting funding solutions for existing and new products
  • Reviewing and commenting on all legal documentation, and handling external law firms
  • Leading the rating agency process, following rating criteria, creating and analysing data to present to agencies and modelling capital structures independently of bank arrangers
  • Looking after all marketing and investor engagement, approaching this proactively. We design bond marketing strategy, creating presentation materials and representing the business at roadshows and conferences, handling day‑to‑day communications and relationship management for all internal and external parties, including organising and running due diligence sessions
  • Managing projects and budgets carefully, both for specific deals and for Treasury more widely, and ensuring detailed compliance with all risk & control frameworks and governance
  • Contributing to a monthly reporting cycle, internally though forums such as ALCO / budgeting / forecasting, externally to parties such as investors / FCA / ESMA. Ensuring production of high quality, accurate reports and papers and keeping various MI and databases up to date to help inform decision making
  • Collaboration around the business, interacting with various teams on small and large projects, supporting Treasury Operations (product control and reporting) as SMEs
Role Requirements
  • Good modelling and technical skills, with an analytical mind that can digest sophisticated problems / projects / structures / ideas
  • Experience of securitisation funding in some form
  • Proven record of running projects
  • Strong risk and control mentality and high attention to detail
  • Excellent communication skills, both verbal and using PowerPoint and Word
  • Strong Excel user with the ability to interrogate, review and check sophisticated spreadsheets and design changes and improvements.
  • Experience of working within a Treasury function
Get your free, confidential resume review.
or drag and drop a PDF, DOC, DOCX, ODT, or PAGES file up to 5MB.