Join Possible Finance as a Treasury & Capital Markets Manager and contribute to building a new type of consumer finance company that helps customers stay out of debt. You'll lead day-to-day treasury operations, liquidity forecasting, and lender reporting, while using SQL and data tools to build automated reports and analyze cash positions.
Requirements
- Demonstrated ability in Treasury, Capital Markets, FP&A, or banking; fintech or lending experience preferred
- Sophisticated SQL required; strong Excel/financial modeling; experience with BI or automation tools a plus
- Solid understanding of accounting, reconciliations, and treasury standard methodologies
- Experience preparing lender/investor reporting; exposure to structured finance and familiarity with borrowing base & forward flow mechanics preferred
- Process-improvement attitude with strong documentation and data hygiene
- Clear communicator who can translate complex data into actionable insights for executives and external partners
- Bachelor’s degree or equivalent experience in Finance, Accounting, Economics, or Data Analytics; MBA, CPA, or CTP a plus
- Curious, accountable, and hungry to learn and to contribute
Benefits
- Significant stock options
- Comprehensive benefits
- Bonus plan
- Commuter benefits
- Excellent office space with complimentary drinks and food options