HarleyDavidson, Inc

Capital Markets Manager (hybrid)

HarleyDavidson, Inc$129K — $194K *
Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • Bachelor's degree required; MBA or CFA preferred.
  • 5-8+ years in structured finance, capital markets, treasury, or related fields.
  • 5+ years of strong financial modeling and analytical skills experience.
  • Experience analyzing loan portfolios and funding structures.
  • Proven ability to drive analytical initiatives independently.
  • Strong communication and presentation skills required.
  • Proficiency in handling large datasets for ad-hoc analysis.

Responsibilities

  • Develop pricing analyses for forward-flow transactions and investor negotiations.
  • Evaluate funding costs and market conditions to optimize asset sale economics.
  • Assess the impact of interest rate movements on funding strategies.
  • Identify opportunities to enhance profitability and scalability of funding programs.
  • Analyze consumer pricing competitiveness and profitability metrics.
  • Create portfolio cash flow and performance models to analyze drivers and risks.
  • Prepare executive materials detailing portfolio performance and strategic opportunities.

Benefits

  • Bonus programs available.
  • Comprehensive health insurance benefits.
  • 401k program with matching contributions.
  • Access to onsite fitness centers.
  • Employee discounts on products and accessories.
Full Job Description
Auto req ID: 57857
Title: Capital Markets Manager (hybrid)
Job Function: Strategy and Business Planning
Location: PLANO
Workplace Category: Hybrid
Company: Harley-Davidson Financial Services
Full or Part-Time:Full Time

Join our team as a Capital Markets Manager (hybrid).

Job Summary

The Capital Markets Analytics Manager role plays a critical role in Harley-Davidson Financial Services' capital markets strategy, providing analytical leadership to support funding strategies, investor partnerships, and portfolio profitability.

The Capital Markets Analytics Manager reports to and partners closely with the VP of Capital Markets & Partnerships to evaluate funding economics, portfolio performance, and transaction structures to deliver insights that optimize profitability and support strategic growth.

The ideal candidate combines strong quantitative and advanced financial modeling capabilities with strong understanding of consumer lending economics, and an ownership mindset. This individual is highly proactive, comfortable operating independently, and able to translate complex analyses into clear, actionable recommendations that influence executive decision-making and institutional partnership strategy.

Job Responsibilities

Investor Pricing & Funding Economics
  • Develop pricing analyses and recommendations supporting forward-flow transactions, institutional investor negotiations, and strategic funding decisions.
  • Evaluate investor return requirements, funding costs, and transaction structures, and market conditions to optimize asset sale economics.
  • Assess the impact of interest rate movements, capital markets conditions, and portfolio performance on investor pricing and funding strategies.
  • Identify opportunities to improve profitability, execution, and scalability of funding programs and institutional partnerships.
  • Evaluate new investor relationships, funding structures, and capital markets opportunities.

Consumer Pricing & Profitability Analytics
  • Analyze consumer pricing competitiveness and profitability.
  • Quantify financial impacts of APR and promotional pricing changes.
  • Assess profitability trade-offs across volume, margin, and risk objectives.
  • Provide data-driven recommendations supporting pricing governance and strategic pricing decisions.
  • Translate capital markets economics into consumer pricing strategies.

Portfolio Performance & Structured Finance Analytics
  • Develop and enhance portfolio cash flow, profitability, and performance models.
  • Analyze key portfolio performance drivers, including credit losses, recoveries, prepayments, yield, and portfolio mix.
  • Conduct scenario and sensitivity analyses to evaluate the impact of economic, interest rate, and performance assumptions.
  • Monitor transaction performance, investor reporting metrics, eligibility, concentration limits, and covenant compliance.
  • Identify emerging portfolio trends, risks, and opportunities impacting portfolio performance and profitability
  • Support transaction structuring and ongoing performance evaluation through data-driven analyses.

Strategic Decision Support & Executive Reporting
  • Develop and present analyses and recommendations supporting strategic capital markets, funding, and pricing decisions.
  • Prepare executive and investor materials that communicate portfolio performance, transaction economics, and strategic opportunities.
  • Support board, executive, and investor discussions through data-driven insights.
  • Influence strategic decision-making through clear communication of complex analytical findings.

Cross-Functional Leadership & Process Improvement
  • Partner with Treasury, Finance, Risk, Operations, Accounting, Legal, Strategy, and institutional investors.
  • Lead analytical workstreams supporting strategic initiatives, leveraging known industry software and pricing tools
  • Improve reporting automation and modeling capabilities.
  • Serve as subject matter expert on portfolio economics and capital markets analytics


Education Requirements

Bachelor's Degree Required

Education Specifications

  • MBA, CFA, or advanced degree preferred


Experience Requirements

Required
  • 5-8+ years of experience in structured finance, capital markets, treasury, institutional portfolio management, consumer lending, or related financial services disciplines.
  • 5+ years of experience providing strong financial modeling and analytical skills, including experience evaluating funding economics, portfolio performance, and pricing strategies.
  • Experience analyzing loan portfolios, funding structures, forward-flow transactions, warehouse facilities, or asset-backed financing transactions.
  • Demonstrated ability to work independently, anticipate business needs, and drive analytical initiatives.
  • Proven track record translating complex financial data into actionable business decisions for senior leadership.
  • Strong communication and presentation skills.
  • Experience influencing executive-level decisions through actionable analytical insights and recommendations.
  • Proficiency in handling large datasets and conducting ad-hoc analysis
  • Knowledge of consumer lending economics, interest rate risk, portfolio performance metrics, and structured finance concepts.

Location & Travel
  • Preferred location: Dallas, TX
  • Remote initially; hybrid arrangement possible in the future
  • Travel: 10%-25%


The pay range shown represents the national average pay range for this role. Your pay may be more or less than the stated range and is dependent on your geographic location and level of experience.

We offer an inclusive compensation package for all full-time employees including, but not limited to, bonus programs, health insurance benefits, a 401k program, onsite fitness centers, employee discounts on products and accessories, and more. Learn more about Harley-Davidson here.

Direct Reports: No
Travel Required: 10 - 25%
Pay Range: $129,700 - $194,600

Visa Sponsorship: This position is not eligible for visa sponsorship or visa transfer
Relocation: This position is not eligible for relocation assistance


#LI-HDFS

About HarleyDavidson, Inc

Harley-Davidson, Inc. is a motorcycle manufacturer that produces heavyweight motorcycles and a line of motorcycle parts, accessories, and general merchandise. The company was founded in 1903 and is headquartered in Milwaukee, Wisconsin. Harley-Davidson has a loyal customer base and a strong brand image. The company has faced challenges in recent years due to declining sales and an aging customer base. Harley-Davidson has responded by introducing new models and expanding its product line to appeal to younger riders. The company also has a strong presence in the international market.
Learn more about HarleyDavidson, Inc
Size
5,800 employees
Market Cap
$5.9 billion
Industry
Net Income
$1.3 million
5 Year Trend
-2.3%
Revenue
$4 billion
NASDAQ

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