Capital Markets Treasury Associate - London
- Recruiter
- BCT Resourcing
- Location
- London, London
- Salary
- £35,000 - £50,000 per annum
- Posted
- 21 Feb 2018
- Closes
- 21 Mar 2018
- Ref
- 1486826
- Sectors
- Banking & Financial Services
- Contract Type
- Permanent
- Hours
- Full Time
Position: Capital Markets Treasury Associate
Location: London
Salary: £35,000 to £50,000 per annum
Job type: Permanent
We are seeking an individual who is self-motivated, keen to take on responsibility and with a track record of creating and communicating independent analysis. Rather than intimidated, the individual will be inspired by the idea of working in a dynamic fintech start-up, where a high degree of change and competing priorities is the norm.
The successful candidate will work directly with the CFO and will be responsible for:
You will:
Play a key and active role throughout the full life cycle of executing and managing funding transactions
Assist in devising and building the strategy and structure of specific Capital Markets / Treasury transactions whilst ensuring alignment of business processes
Support the execution of trades; including but not limited to the negotiation of legal contracts, answering prospective investor queries and project managing all internal processes and stakeholders
Management of group liquidity position and 3rd party facilities, including investor reporting and debt drawings
Manage ongoing communications with a range of existing investors
Portfolio / Asset Management; including monitoring of loan portfolio performance, ensuring data integrity and asset allocation
Work closely with the CFO, Head of MI and Head of Risk as well as with external advisors and vendors
Support business initiatives through providing analytical, capital markets and treasury insights
You have:
A minimum of 3 years’ experience in a similar role, preferably with fixed income knowledge
Comfortable reviewing legal documents and analysing financial models
Excellent written and verbal communication skills with very strong attention to detail
Confident, presentable and able to interact directly and autonomously with a wide variety of investors and stakeholders
Ambitious, dedicated and excited about working with highly motivated and smart individuals in an entrepreneurial environment
Data analysis skills and experience is required, with cash flow modelling and SQL skills viewed favourably
ADDITIONAL INFORMATION:
Non-negotiable skills:
Looking for a finance background, treasury, funding, risk analysis, market risk, Asset Liability.
We need a true analyst who deals with data and makes data driven decisions.
KEY SKILLS:
Excel. Python, DAX, PowerBI - highly desirable
If you have further inquiries about this role, please don’t hesitate to contact our office at: 02033-71-7671
Location: London
Salary: £35,000 to £50,000 per annum
Job type: Permanent
We are seeking an individual who is self-motivated, keen to take on responsibility and with a track record of creating and communicating independent analysis. Rather than intimidated, the individual will be inspired by the idea of working in a dynamic fintech start-up, where a high degree of change and competing priorities is the norm.
The successful candidate will work directly with the CFO and will be responsible for:
You will:
Play a key and active role throughout the full life cycle of executing and managing funding transactions
Assist in devising and building the strategy and structure of specific Capital Markets / Treasury transactions whilst ensuring alignment of business processes
Support the execution of trades; including but not limited to the negotiation of legal contracts, answering prospective investor queries and project managing all internal processes and stakeholders
Management of group liquidity position and 3rd party facilities, including investor reporting and debt drawings
Manage ongoing communications with a range of existing investors
Portfolio / Asset Management; including monitoring of loan portfolio performance, ensuring data integrity and asset allocation
Work closely with the CFO, Head of MI and Head of Risk as well as with external advisors and vendors
Support business initiatives through providing analytical, capital markets and treasury insights
You have:
A minimum of 3 years’ experience in a similar role, preferably with fixed income knowledge
Comfortable reviewing legal documents and analysing financial models
Excellent written and verbal communication skills with very strong attention to detail
Confident, presentable and able to interact directly and autonomously with a wide variety of investors and stakeholders
Ambitious, dedicated and excited about working with highly motivated and smart individuals in an entrepreneurial environment
Data analysis skills and experience is required, with cash flow modelling and SQL skills viewed favourably
ADDITIONAL INFORMATION:
Non-negotiable skills:
Looking for a finance background, treasury, funding, risk analysis, market risk, Asset Liability.
We need a true analyst who deals with data and makes data driven decisions.
KEY SKILLS:
Excel. Python, DAX, PowerBI - highly desirable
If you have further inquiries about this role, please don’t hesitate to contact our office at: 02033-71-7671