Newly created role due to business growth!
Key responsibilities:
- Prepare portfolio and cashflow modelling using Excel
- Reconcile securitisation trust bank accounts
- Prepare monthly trust cashflows and distributions
- Monitoring cashflow/liquidity requirements
- Monthly cashflow analysis for the securitisation trust
- Desire to develop career within Debt Capital Markets
- Bachelors degree - relevant disciplines
- 2-3 + years experience in accounting or fiannce
- Strong financial modelling/excel skill
- Familiarity with Securitisation industry highly desirable
- Team player
- Strong attention to details
- Excellent written and verbal communication details