Job description
This is an immediately available opportunity offered on an initial 6 month contract basis within a specialist lending operation.
The role is centred within Treasury Management, Loan Completion and the funding process.
• Liaise with senior funders on all matters relating to the revolving credit lines and the various facilities.
• Monthly preparation of IPD documentation.
• Liaise with the underwriting team to monitor and forecast daily, weekly and monthly loan completions.
• Manage all loan data tapes.
• Audit preparation.
• Monthly reporting.
• Respond to any Funder queries.
• Liaise with the finance team to monitor capital funds available to complete new loans.
• Liaise with the Servicing team to monitor and forecast loan redemptions.
• Ensure that data is accurately entered and managed within the company’s CRM system.
• Assist shareholder/investor management in Investor Relations Manager’s absence
• Ad hoc administration and projects.
The ideal candidate will have experience gained within a lender. Interviews are available immediately.