Treasury & Balance Sheet Management
Reporting to the CFO, this treasury and balance sheet management role is a newly created position due to growth within this p/e backed lending business.
Responsibilities will include;
- Working with FP&A to ensure funding requirements are optimised and allocating capital effectively
- Debt and equity raising activities
- Managing banks and shareholder relations
- Analysing portfolio to assess risk return contribution and further opportunities for growth and implementing a target portfolio risk return profile.
You will have strong analytical skills and exposure to portfolio based analytics, securitisation and valuation methods and experience of balance sheet and cashflow management desirable.
An accounting qualification or CFA also desirable.