Responsibilities
Maintenance of existing securitisation programmes:
ensuring compliance with reporting requirements and validating trust and investor reports
scheduling audits
primary contact with funding banks and investors
Lead all short to long-term funding planning and strategy
Structuring and management of new funding deals:
leading deal structuring with lawyers, banks/JLM’s, investors and rating agencies
compiling and sign off of investor materials, transaction legal docs and transaction modelling
arranging for rating agency, back up servicer and any bank due diligence
lead deal marketing activities with the Group Treasurer including roadshows as required
Lead corporate unsecured debt programme issuances
Provide support to M&A activities, leading the arrangement of any required funding facilities
Lead initial and annual due diligence reviews for financiers and rating agencies
Assist in the management of regulatory, rating agency and investor relations agendas across all funding structures
Assist in planning processes to forecast cost of funds, debt outstanding and contingent liquidity (headroom in facilities)
Attendance at investor roadshows, key securitisation conferences and networking events
Ownership of management of all operational risks as they relating to funding and liquidity, and leadership in interest rate risk.
Leadership and training of a team of two direct reports consisting of senior funding manager and analyst.
Leadership and training of all other treasury team members.
Support communication with key stakeholders; attend committees and Boards as required.
Develop and maintain strong internal stakeholder relationships.
Develop and maintain strong banking relationships where you will work with and co‑own these relationships with the Group Treasurer.
What you’ll bring
Degree qualified with a finance degree and/or post‑degree finance qualification
Minimum 10 years + experience in either banking and/or treasury roles
Significant exposure to capital markets and funding
Strong structuring experience
In depth experience and knowledge of asset backed securitisations (ABS). Implemented and brought to market ABS transactions
Strong working relationships and a well‑developed network with key lenders, investors, lawyers and rating agencies
Demonstrated experience in corporate financial management, particularly as a tool to drive growth
Extensive business and industry knowledge with recent experience in similar sized / complex organisation
Ability to influence and work at all levels
Solid understanding of Retail and Commercial banking products ideally in a Treasury environment
Attributes Essential
Customer First - prioritise delivery to your customers – ensuring they have the information they need to make good decisions.
Excellent communication and influencing skills. Ability to simplify complex financial information, distil key messages and focus on the most important issues.
Resilience – ability to adapt in a rapidly changing environment, possess the tenacity to overcome obstacles & solve problems.
Strong commercial acumen – a proven ability to influence results, and focus on the best commercial outcome for Latitude.
Challenges the status quo – ability to drive continuous improvement and simplification.
Leadership and developing of treasury team members.
Successful applicants will be required to complete a background check (including criminal history and bankruptcy check) prior to commencement of employment. Only open to Australian or New Zealand Permanent Residents or Citizens.
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