Soar is a global fintech startup that specializes in financing and investment. Currently headquartered in Saudi Arabia, Soar is growing throughout the region with a mission to help people achieve their financial goals with innovative financial and property investment solutions and tools through its multi‑purpose platform, designed to offer a simple and seamless user experience.
About the Role
The Product Manager – Treasury Systems & Investor Platform will play a pivotal role in building the backbone of SOAR’s Treasury ecosystem, including the Investor Portal, Treasury System implementation, and end‑to‑end back‑office operations. This role combines deep product ownership with a strong understanding of treasury operations, investment management, and securitization, ensuring that investor capital, portfolio creation, and fund deployment are seamlessly integrated within SOAR’s digital mortgage platform.
Key Responsibilities
- Lead the implementation of SOAR’s Treasury System to manage fund inflows, allocations, and investment operations.
- Demonstrate a successful track record as a Product Manager, with strong proficiency in Agile product delivery, scrum ceremonies, and JIRA for backlog and sprint management.
- Lead requirement gathering, documentation, and testing for all Treasury and Investor Platform features.
- Deliver Treasury systems such as Murex, Fusion Risk, or equivalent platforms.
- Drive post‑implementation optimization, automation, and scalability of the Treasury ecosystem.
- Design and deliver the Investor Portal, allowing individual and corporate investors to browse and select mortgage portfolios based on ratings, pricing, location, and performance indicators; commit capital; monitor allocations; and track investment returns in real time.
- Collaborate with Treasury and Sales teams to align investor commitments with customer mortgage onboarding targets.
- Design workflows for fund allocation, interim market investments, and liquidity management until portfolio deployment.
- Define and manage the lifecycle for portfolio securitization, including SPV creation, fund pooling, and sale of portfolios to SRC or hedge funds.
- Implement early warning indicators driven by Bloomberg/Reuters market data to monitor macroeconomic trends, profit rate changes, and portfolio risk.
- Partner with Finance and Risk to build Treasury dashboards, performance metrics, and compliance reporting.
- Ensure all Treasury operations, investor flows, and portfolio structures remain compliant with Shariah, SAMA, and internal governance standards.
Qualifications
- 7–10 years of experience in Treasury, Product Management, or Investment Platforms, ideally within digital banking, fintech, or Islamic finance.
- Bachelor’s degree in Finance, Economics, Business, Computer Science, or a related field (Master’s degree or MBA preferred).
- Proven experience in Treasury System implementation and Investor Platform design.
- Strong understanding of Treasury operations, funding flows, liquidity management, and portfolio securitization.
- Knowledge of SPV management, securitized asset sale, and investor return structuring.
- Familiarity with Bloomberg/Reuters market data usage for risk and early warning models.
- Deep understanding of Shariah‑compliant structures such as Murabaha, Ijara, and Sukuk.
- Strong stakeholder management, documentation, and analytical skills.
- Ability to bridge business, treasury, and technology functions to deliver integrated products.
- Professional certifications such as CFA, FRM, CTP, or PMP will be considered a strong advantage.
Location & Working Arrangement
This position is open to candidates worldwide and can be performed fully remotely. If the candidate is based in Riyadh, a hybrid work environment will be required.