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About the Role
Support the structuring, execution, and ongoing management of financing transactions by collaborating with internal teams and external investors to ensure efficient execution and robust controls.
Responsibilities
- Compare investor term sheets across pricing, triggers, covenants, representations & warranties, and other structural terms.
- Support structuring and negotiation of Purchase, Servicing, and other transaction agreements.
- Coordinate transaction closing, including conditions precedent, legal documentation, and funding readiness.
- Perform first-funding reconciliations to ensure asset data, settlement amounts, and wire transfers are accurate.
- Monitor facility performance across delinquency, WAC, losses, concentration limits, and covenant triggers.
- Build and maintain facility compliance dashboards and transaction trackers.
- Coordinate deal-level cash movements, reserve accounts, and funding flows with Treasury.
- Partner with Legal, Finance, Risk, Servicing, Operations, and investors to resolve execution issues and manage post-closing obligations.
Requirements
- 5+ years of experience in Capital Markets, Structured Finance, Treasury, Investment Banking, or Asset-Backed Finance.
- Experience with warehouse facilities, whole-loan sales, forward-flow arrangements, securitizations, or similar financing structures.
- Strong understanding of transaction economics, covenants, funding mechanics, and deal documentation.
- Experience in consumer lending, fintech, or specialty finance preferred.
Skills
- Analytical skills
- Excel
- Stakeholder management skills
Experience Level
- 5+ years