RCN Capital is seeking an Analyst, Treasury & Capital Markets to join the Treasury team in our Charlotte, NC location. The Analyst, Treasury & Capital Markets, will be responsible for assisting in strengthening RCN's Treasury and Capital Markets team as well as assisting with balance sheet management, cash operations, and cash management. This role will also assist in maintaining RCN's short and long term liquidity forecasting, will create and maintain all deliverables needed for RCN's capital partners, and will assist in finding ways to keep RCN's product offerings competitive with the market. Additional projects and responsibilities will be assigned as directed by the VP of Treasury.
Primary Responsibilities:
- Support RCN by assisting in building, strengthening, and maintaining RCN's Treasury and Capital Markets department. This includes, but is not limited to, Balance Sheet Management, Cash Operations, and Cash Management
- Assist in maintaining RCN's short and long term liquidity forecasting and daily liquidity management
- Assist in creating and maintaining all required deliverables needed for each of RCN's capital partners. This includes, but is not limited to, producing data tapes, analysis, loan packages, solving exceptions, and ensuring that RCN is treating the loan's exit strategy with the most economically viable solution possible
- Assist in finding ways to keep RCN's product offering(s) competitive with the market. Analyzing deficiencies in each of RCN's products and expanding on weaknesses to make them strengths via communication with internal/external counterparties will be required
- Create and maintain databases for RCN which will allow for more in depth analysis to assist RCN Management with company-wide decisioning
- Assist in ensuring that all departments within RCN are performing necessary functions needed in order to maintain a high level of capital efficiency
- Build, strengthen, and maintain current and future relationships with all of RCN's capital partners
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