2+ years direct experience in asset-backed funding
Experience in mortgage-backed securities and rmbs programmes
Strong applied excel capability for analytical models
The Treasury team manages the funding and liquidity backbone of the business, having securitised over $10 billion in assets
Job Summary
The Treasury team manages the funding and liquidity backbone of the business, having securitised over $10 billion in assets.
This role blends operational execution with analytical depth, offering a unique opportunity to work hands-on across structured finance and securitisation.
Candidates will join an experienced team with a relaxed culture that embraces diversity, equality, and inclusion while offering hybrid working options.
Matching Summary
The Treasury team manages the funding and liquidity backbone of the business, having securitised over $10 billion in assets.
Skills & Requirements
Must-have
2+ years direct experience in asset-backed funding
Experience in mortgage-backed securities and RMBS programmes
Strong applied Excel capability for analytical models
Sound understanding of funding liquidity and risk management
Experience managing interest rate swaps and derivatives
Nice-to-have
SQL skills and exposure to treasury systems
Familiarity with Perpetual's TFI platform
Excellent communication and numerical reasoning skills
Self-directed and energised by fast-paced environment
Comfort dealing directly with external financial market participants
Key Requirements
Currently working as a Treasury Analyst or equivalent role
Relevant tertiary qualification in Finance, Accounting, Economics or related quantitative field
Practical knowledge of Treasury functions and Financial Markets