


Our client is an ASX listed financial services company seeking a Deal Analyst to join their Sydney team.
Key responsibilities:
- Review Transaction Documents and / or all legal documentation, ensuring cash flows are accurate
- Provide superior client and technical expertise on the on-boarding of new Trust Management clients through pitching to prospective clients, building complex financial models
- Build excel based Cash Flow Models per model framework for all new Trust Management clients in accordance with legal documentation
- Conduct period Cash Flow Model Audits / Reviews for all new clients
- Build and maintain client relationships with all stakeholders (institutional banks, debt markets investors, asset originators)
- Risk Management – Maintain an appropriate quality assurance and risk management with policy
- Build VBA Cash Flow Models for all new Trust Management clients
Qualifications/ experience required:
- 3-5 years’ experience within Securitisation
- Advanced skills in Microsoft Excel (modelling experience), SQL and VBA (desirable)
- Relevant tertiary education (business / economics or finance degree), with a strong technical background
- Qualified CA/ CPA/ CFA or currently pursuing (desirable)
- Strong problem solving skills and technical mindset