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Capital Markets Manager

Remote US

ABOUT OPORTUN

Oportun (Nasdaq: OPRT) is a digital banking platform that puts its 2.2 million members' financial goals within reach. With intelligent borrowing and savings, Oportun empowers members with the confidence to build a better financial future. Since inception, Oportun has provided more than $17.8 billion in responsible and affordable credit, saved its members more than $2.3 billion in interest and fees, and helped our members save an average of more than $1,800 annually. For more information, visit Oportun.com.

 

WORKING AT OPORTUN


Working at Oportun means enjoying a differentiated experience of being part of a team that fosters a diverse, equitable and inclusive culture where we all feel a sense of belonging and are encouraged to share our perspectives. This inclusive culture is directly connected to our organization's performance and ability to fulfill our mission of delivering affordable credit to those left out of the financial mainstream. We celebrate and nurture our inclusive culture through our employee resource groups.

Manager, Capital Markets & Treasury will be responsible for managing the reporting and covenant monitoring for existing funding facilities; analyzing and optimizing liquidity, capital planning and funding strategies; structuring and executing securitizations, warehouse financings and whole loan sale transactions; and managing a broad array of external capital markets relationships. 

 

RESPONSIBILITIES

  • Execution of asset-backed securitizations, warehouse lines of credit and other debt financings, and loan sale transactions
  • Participate in development of the company’s funding plans and new funding channels
  • Perform cash flow modeling, deal structuring, and scenario analysis for capital planning
  • Interact with lenders, investors, rating agencies and other transaction parties
  • Perform liquidity forecasting and cash management
  • Analyze and implement interest rate hedges
  • Manage transaction reporting
  • Provide capital markets coverage for financial forecasting, financial reporting, accounting, audit and compliance activities

 

REQUIREMENTS

  • Bachelor’s degree plus 2+ years experience in capital markets, investment banking or investment management (or Master’s degree and equivalent combination of education and experience)
  • Experience managing securitizations and warehouse facilities
  • Experience analyzing loan tapes, calculating risk metrics and developing cash flow models
  • Proven track record of managing deal flow and third-party relationships
  • Ability to work in a fast-paced and highly dynamic business environment 
  • Excellent problem solving and communication skills
  • Results-oriented team player with a strong work ethic and attention to detail
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