Holiday Inn Club Vacations Incorporated

Manager, Capital Markets

Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • 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 is strongly preferred
  • Advanced Excel and financial modeling skills (cash flow modeling, scenario analysis)
  • Experience with Power BI, SQL, or data analytics tools is preferred
  • Strong analytical and problem-solving skills
  • Effective communication skills with both technical and non-technical stakeholders

Responsibilities

  • 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
  • Monitor loan portfolio performance, including delinquency, default, and prepayment trends
  • Deliver actionable insights to improve credit performance and inform lending strategy
  • Build and maintain cash flow models for securitization and portfolio valuation
  • Develop and implement automated reporting tools (Excel, Power BI, SQL)

Benefits

  • 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
Full Job Description
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

About Holiday Inn Club Vacations Incorporated

Holiday Inn Club Vacations Incorporated is a vacation ownership company that markets and sells vacation ownership interests (VOIs) and manages resorts in top leisure and urban destinations. The company was founded in 2008 and is headquartered in Orlando, Florida. Holiday Inn Club Vacations Incorporated is a subsidiary of Orange Lake Holdings, L.P.
Learn more about Holiday Inn Club Vacations Incorporated
Size
5,000 employees
Industry

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