Treasury Manager, Securitization
Listed on 2026-02-08
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Finance & Banking
Corporate Finance -
Management
Overview
- Demonstrated analytical and quantitative skills, including structural modeling experience
- Strong financial modeling, data mining, statistical analytics, or statistical modeling experience
- Proficient with MS Office applications such as Excel, Word and Power Point
- Detail oriented with the ability to meet time-sensitive deadlines
- Ability to identify, analyze, and solve problems
- Must be a team player, able to scale, work under pressure and ambiguity against tight deadlines
- Excellent communication and interpersonal skills
- Effective at collaborating with internal teams and external stakeholders
- Overtime required – required on an as needed basis
- Travel 0-10% - as required on an as needed basis
- Must have reliable transportation and live within a commutable distance to one of the following cities:
Atlanta, GA;
Dallas, TX;
Detroit, MI;
Houston, TX;
Phoenix, AZ.
- Assists the Director, Treasury & Funding in managing one or more organizational treasury functions, including but not limited to funding-related activities, cash flow modeling, reviewing legal documents, supporting the rating agency process, overseeing the AUP process, and coordinating with transaction parties. Manager, Treasury & Capital Markets will support the entire securitization process, from initial deal origination and structuring to execution and ongoing portfolio management.
- Support development and implementation of a corporate treasury policy and strategy that is aligned with organizational goals and objectives
- Assists the Director of Treasury and Funding in the formation of the secured funding platforms including structuring, analyzing and executing on securitizations, warehouse facilities and other funding programs to facilitate company’s rapid growth
- Support management of the entire securitization process, from initial deal origination and structuring to execution and ongoing portfolio management
- Collaborate with the Risk team and support Director, Treasury & Funding to develop and provide complex data analytics to rating agencies in connection with secured and unsecured transactions
- Manages rating and ad-hoc data analysis
- Collaborate and build strong relationships with cross-functional teams, banks, rating agencies, lawyers, and other debt capital markets parties
- Support the Director of Treasury and Funding to ensure all treasury funding-related activities comply with applicable regulatory requirements
- Support other treasury and finance projects as needed
- Other duties as assigned
Choosing the Hire Road is about shared success, active and committed partnerships and relationships that last. Hire Road is solely focused on connecting highly skilled professionals with leading organizations. We are a solutions-based, results-oriented staffing company specializing in a wide range of industry specific practices. To put it simply, we recruit, screen and hire talented people for temporary and full-time positions.
This classification description is intended to indicate the general kinds of tasks and levels of work difficulty that are required of positions given this title and should not be construed as declaring what the specific duties and responsibilities of any particular position shall be. It is not intended to limit or in any way modify the right of any supervisor to assign, direct and control the work of the employees under her/his supervision.
The use of a particular expression or illustration describing duties shall not exclude other duties not mentioned that are of a similar kind or level of difficulty.
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