Sr. Manager, Capital Markets & Treasury

Oportun

Remote regions

US

Benefits

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Key Responsibilities:

  • Responsible for the organization's overall liquidity management and enterprise corporate cash forecast.
  • Enhance cash forecast model effectiveness and transparency by improving reporting and integrating cash management data sources.
  • Aggregate internal data and vendor cash management data to create a robust cash forecasting platform.

Requirements:

  • Bachelor's degree plus 4-8 years experience in finance, capital markets, investment banking or investment management.
  • Excellent Excel skills including pivot tables, vlookups, macros and SQL.
  • Ability to work in a fast-paced and highly dynamic business environment.

Why Oportun:

  • Mission-driven company focused on affordable credit and financial inclusion.
  • Inclusive culture with employee resource groups and diverse perspectives.
  • Remote work opportunity with a collaborative team.

Oportun

Oportun is a mission-driven financial services company that provides affordable credit and financial tools to underserved communities. With over $21.3 billion in credit provided and more than 2,000 employees, it fosters an inclusive culture with employee resource groups.

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