Related skills
financial modeling sql python excel treasuryπ Description
- Support capital and funding operations with internal and external partners
- Develop understanding of loan portfolio and oversee loan cash flows
- Build, automate, and enhance operational reporting, reconciliations, and monitoring
- Manage ongoing internal and external audits for funding facilities, including data validation and coordination
- Support evolution of capital operations by designing scalable controls governance and best practices
- Lead monthly and quarterly investor financial reporting
π― Requirements
- 2+ years of experience in Treasury, capital markets, or investment operations
- BA/BS in Finance Economics Mathematics or related field
- Strong attention to detail, ownership mentality, and willingness to dive into day to day operations
- Excellent proficiency in financial modeling and Excel
- Ability to thrive in a fast paced high growth environment with ambiguity
- Strong understanding of loan life cycle asset backed financing liquidity management and cash risk
- Familiarity with SQL Python workflow automation tools or AI productivity tools
π Benefits
- Health care coverage for you and dependents
- Flexible Spending Wallets with stipends for technology food and lifestyle needs
- Time off with vacation and holidays
- ESPP a discount on employee stock purchases
- Remote first culture with flexible remote work within the country
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