Support the effective management of lenders existing and new funding initiatives, ensuring the company remains appropriately funded to fulfil business requirements at all times. Given this is a contract role, the duties could vary, though as a general guide the main responsibilities will cover Treasury, Funding and Balance Sheet Management; management the lenders interest rate risk hedging portfolio; and developing and maintaining adequate processes and controls.
Role Requirements
Experience within Treasury capital markets, advisory or Rating Agencies where a strong knowledge of capital markets or structured finance products has been developed
Direct experience or a very strong awareness of mortgage lending or similar asset classes and markets
Interest Rate Risk Hedging and the ability to build and maintain supporting models
Demonstrable working knowledge of securitisation and warehous...
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