We respectfully request that staffing agencies and third-party recruiters do not submit resumes for this position. Unsolicited resumes will not be considered, and no fees will be paid for candidates submitted without a prior written agreement.
The Manager, Capital Markets plays a critical role in managing and optimizing the company's funding platform, including securitizations, warehouse facilities, and bank credit arrangements.
This position combines analytical rigor, transaction execution, and cross-functional leadership to support the company's liquidity strategy and long-term growth. The role will partner closely with Treasury, FP&A, external lenders, and rating agencies to drive insights and execute financing transactions.
KEY RESPONSIBLITIES
Capital Markets & Transaction Execution
• Support and lead execution of securitization transactions and warehouse facility financings
• Coordinate with internal stakeholders, legal teams, and external partners throughout transaction lifecycles
• Assist in structuring and evaluating funding strategies to optimize cost of capital
Portfolio Analytics & Reporting
• Monitor loan portfolio performance, including delinquency, default, and prepayment trends
• Deliver actionable insights to improve credit performance and inform lending strategy
• Oversee preparation and review of monthly investor reporting packages for securitizations
Financial Modeling & Forecasting
• Build and maintain cash flow models for securitization and portfolio valuation
• Support loan portfolio forecasting in partnership with FP&A and Treasury
• Analyze funding scenarios and capital structure alternatives
Process Improvement & Automation
• Develop and implement automated reporting tools (Excel, Power BI, SQL)
• Enhance scalability and accuracy of reporting and analytics processes
Leadership & Stakeholder Engagement
• Mentor and develop junior analysts
• Prepare and present materials to senior leadership, banking partners, and rating agencies
• Serve as a key contributor in cross-functional initiatives related to capital strategy
REQUIREMENTS:
• Bachelor's degree in Finance, Accounting, Economics, or a quantitative field
• 5-7+ years of relevant experience in capital markets, structured finance, or corporate finance
• Experience with securitizations, ABS, or consumer lending portfolios strongly preferred
• Advanced Excel and financial modeling skills (cash flow modeling, scenario analysis)
• Experience with Power BI, SQL, or data analytics tools preferred
• Strong analytical and problem-solving skills
• Ability to manage multiple priorities in a deadline-driven environment
• Effective communication skills with both technical and non-technical stakeholders
WHY THIS ROLE IS UNIQUE
• Direct exposure to structured finance and securitization transactions
• High visibility with senior leadership and external financial partners
• Opportunity to influence funding strategy at a growing hospitality brand