Description
Our client is an Established Bank with ambitious growth plans and they are looking for a Secured Funding Specialist who's responsibility will be the servicing and cash management of Secured Funding transactions on behalf of the group, working in the Treasury division.
Key Responsibilities:
- Preparation of the daily cash transfer and reconciliation of monthly asset pool movement to cash and non-cash transactions
- Collateral testing and management of secured portfolios
- Ongoing monitoring of securitisation transactions performance against criteria and triggers
- Reconciliation of bank accounts of securitisation structures
Key Skills & Experience:
- Secured funding experience within either a bank or corporate treasury environment
- Strong modelling skills together with analytical capability
- Sound understanding of core financial control and establishing a strong control environment
- Self-starter, effective communicator, both written and oral and excellent attention to detail