Your new company
An exciting time to join a fintech start up who are at the tip of investment activity and growth. Located in the heart of the CBD, you will join a visionary team who is looking for someone to help them steer the business.
Your new role
Your role is currently a stand-alone in-house position with external support and a view to growing the team in the coming 12 months. Your duties will include but are not limited to:
General Financial management
Manage the sale of loan receivables to a securitised warehouse, ensuring efficient funding and liquidity management.
Oversee financial reporting related to loan receivables, including compliance with accounting standards and regulatory requirements.
Analyse cash flow and monitor liquidity to support funding activities and maintain adequate reserves.
Collaborate with accounting and finance teams to prepare accurate monthly and quarterly financial statements.
Develop and maintain relationships with financial institutions and external stakeholders to facilitate smooth treasury operations and funding activities.
What you'll need to succeed
CA or CPA qualified
Deep Understanding of Australian Financial Markets would be considered useful
An advanced understanding of debt markets and securitisation vehicles is necessary.
Treasury experience
Advanced Financial Modelling and Analysis including complex financial modelling and Data-Driven Decision-Making skills
Negotiation Skills
Risk Management and Compliance
Strategic Thinking and Innovation
What you'll get in return
An amazing platform for growth and success satisfaction
Opportunity to build your own team
Bonus and shares scheme available
Great location with main public transport on the doorstep
Modern office with great amenities
What you need to do now If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV. Please click here to apply.
An exciting time to join a fintech start up who are at the tip of investment activity and growth. Located in the heart of the CBD, you will join a visionary team who is looking for someone to help them steer the business.
Your new role
Your role is currently a stand-alone in-house position with external support and a view to growing the team in the coming 12 months. Your duties will include but are not limited to:
General Financial management
Manage the sale of loan receivables to a securitised warehouse, ensuring efficient funding and liquidity management.
Oversee financial reporting related to loan receivables, including compliance with accounting standards and regulatory requirements.
Analyse cash flow and monitor liquidity to support funding activities and maintain adequate reserves.
Collaborate with accounting and finance teams to prepare accurate monthly and quarterly financial statements.
Develop and maintain relationships with financial institutions and external stakeholders to facilitate smooth treasury operations and funding activities.
What you'll need to succeed
CA or CPA qualified
Deep Understanding of Australian Financial Markets would be considered useful
An advanced understanding of debt markets and securitisation vehicles is necessary.
Treasury experience
Advanced Financial Modelling and Analysis including complex financial modelling and Data-Driven Decision-Making skills
Negotiation Skills
Risk Management and Compliance
Strategic Thinking and Innovation
What you'll get in return
An amazing platform for growth and success satisfaction
Opportunity to build your own team
Bonus and shares scheme available
Great location with main public transport on the doorstep
Modern office with great amenities
What you need to do now If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV. Please click here to apply.