Manage funding allocation budgets and funding cost analysis to support business growth across regional markets.
Partner with Business Development, Credit Risk, and BI teams to maintain cash flow forecasting models and funding allocation strategies.
Support liquidity planning, balance sheet management, and monthly forecasting activities.
Work closely with Funding PMO, Finance, Tax, and Compliance teams to design and optimize funding structures and projects.
Drive automation, system enhancements, and process improvements for cash flow and funding management.
Conduct ad-hoc analysis to support business and funding-related decisions.
Requirements
Bachelor's degree in Finance, Accounting, Business, Economics, or a related field, with at least 2 years of relevant experience.
Strong understanding of financial analysis, forecasting, budgeting, and cash flow management. Experience in funding, treasury, or lending businesses is a plus.
Proficiency in Excel and coding tools such as SQL, Python, or SAS.
CPA, CFA, or progress towards professional certification is a plus.
Strong analytical, problem-solving, and stakeholder management skills.
Able to thrive in a fast-paced environment and manage multiple priorities effectively.