Capital Markets Director
Il y a 3 jours
Fresnes, Ile-de-France
Aria
Télétravail
Temps plein
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The company ðŸ
¢ We are a fast-growing fintech providing invoice financing solutions to SMEs in France and the UK (and we are expanding into other EU jurisdictions). Our lending activity is funded through a combination of structured financing vehicles, including securitisation SPVs and trust-based structures in France. As we scale, we are expanding and optimising our funding stack, including new facilities, additional funding compartments, and alternative structures such as forward flow and on-balance-sheet first-loss funding. Why this role, why now ? This is a priority hire for the finance function. We have a bank refinancing later this year, and a Series B fundraise targeted in the next 18 months, all of which run through this role. Getting the funding stack, lender reporting, and capital strategy right now materially de-risks diligence on each of these events. We are looking for a hands-on Capital Markets Director to take ownership of our funding structures and lender relationships. This role sits at the intersection of capital markets, data, and operations and is critical to ensuring accurate reporting, covenant compliance, and optimal utilisation of our funding facilities. You will work closely with the CFO, external banks, calculation agents, trustees, rating agencies, legal advisors, and internal data and product teams. This is not a purely strategic role; we are looking for someone who can both negotiate and execute.
Key Responsibilities
👑 Capital Markets & Funding Own and manage existing structured financing vehicles, including securitisation SPVs (FCT, via Nomura) and Fiducie-sûreté (Security Trusts) Act as the primary point of contact for banks, financing institutions, calculation agents, trustees, rating agencies, bondholders, and shareholders. Manage the relationship with IQEQ (vendor management and substance) Lead the preparation, review, and negotiation of: Term sheets Long-form financing documentation Amendments and waivers Negotiate eligibility criteria, concentration limits, advance rates, and covenants with lenders Support the structuring and execution of new funding initiatives, including Additional SPV compartments New lenders within existing structures Alternative funding solutions (e.g. forward flow, balance-sheet first-loss funding) New vehicle structuring for EU expansion Reporting & Covenants Own all lender and investor reporting (daily, weekly, monthly), including the weekly borrowing base across all funding vehicles Ensure full compliance with: Eligibility criteria Covenants and undertakings Triggers and early amortisation events Own covenant monitoring and concentration assurance Provide oversight of the loan allocation algorithm, in partnership with data engineering Translate legal documentation into operational and data requirements Proactively identify and mitigate covenant or performance risks Produce monthly and quarterly bank/fund reporting packs Financing Events & Capital Strategy Lead end-to-end execution of upcoming financing events, including the bank refinancing, bond refinancing, and Series B fundraise Prepare investor materials, manage the data room, and coordinate advisors Manage roadshow logistics and investor narrative Own the bond programme and refinancing strategy Set hedging strategy linked to the funding vehicles Shape cash strategy relative to AUM growth and first-loss capital Own cost of funds optimisation across the funding stack Identify forward funding gaps ahead of need Modelling & Optimisation Build and maintain financial and funding models, including: Facility utilisation and availability Cost of funds and margin optimisation Stress and downside scenarios Optimise the use of funding facilities to minimise funding costs and maximise gross profit Work closely with the data function to define, validate, and improve data pipelines feeding funding models and reports Required Experience & Skills 🫵🻠Must-Haves 5–8 years of experience in structured finance, capital markets, or securitisation ◠Direct, hands-on experience with: ○ SPVs / securitisations ○ Calculation agents and rating agencies ○ Negotiating and managing term sheets and long-form financing documentation with banks or financing institutions ◠Strong understanding of: ○ Structured credit facilities ○ Covenants, eligibility criteria, waterfalls, and triggers ◠Proven ability to build and own financial models related to structured funding ◠Strong Excel / spreadsheet modelling skills ◠Ability to operate autonomously in a fast-growing, unstructured environment Nice-to-Haves ◠Exposure to bonds, Fiducie-sûreté structures, or trust-based financing ◠Previous experience in a fintech lender, alternative lender, or asset-backed finance platform ◠Experience working across multiple jurisdictions & currencies ◠Experience supporting equity fundraising processes (e.g. Series A/B), including data room management and investor materials
What We Offer
& Our benefits 🎠🤠Impact: A key role in a high-growth Fintech Flexibility: A remote-friendly culture Environment: Beautiful offices in the heart of Paris Meal vouchers via "Swile" worth €11,10 per day. Bike subscription : Coverage for your bike subscription (or public transport) and access to private parking. Health insurance : 100% coverage of family Fruit delivery : Weekly delivery of fresh, seasonal, and locally sourced fruits. Interview Process 🤠HR Interview Manager interview, our CFO Use case with the manager and the CEO Coffee fit Aria is an equal opportunity employer. We celebrate diversity and are committed to creating an inclusive environment for all employees, including those with disabilities.
¢ We are a fast-growing fintech providing invoice financing solutions to SMEs in France and the UK (and we are expanding into other EU jurisdictions). Our lending activity is funded through a combination of structured financing vehicles, including securitisation SPVs and trust-based structures in France. As we scale, we are expanding and optimising our funding stack, including new facilities, additional funding compartments, and alternative structures such as forward flow and on-balance-sheet first-loss funding. Why this role, why now ? This is a priority hire for the finance function. We have a bank refinancing later this year, and a Series B fundraise targeted in the next 18 months, all of which run through this role. Getting the funding stack, lender reporting, and capital strategy right now materially de-risks diligence on each of these events. We are looking for a hands-on Capital Markets Director to take ownership of our funding structures and lender relationships. This role sits at the intersection of capital markets, data, and operations and is critical to ensuring accurate reporting, covenant compliance, and optimal utilisation of our funding facilities. You will work closely with the CFO, external banks, calculation agents, trustees, rating agencies, legal advisors, and internal data and product teams. This is not a purely strategic role; we are looking for someone who can both negotiate and execute.
Key Responsibilities
👑 Capital Markets & Funding Own and manage existing structured financing vehicles, including securitisation SPVs (FCT, via Nomura) and Fiducie-sûreté (Security Trusts) Act as the primary point of contact for banks, financing institutions, calculation agents, trustees, rating agencies, bondholders, and shareholders. Manage the relationship with IQEQ (vendor management and substance) Lead the preparation, review, and negotiation of: Term sheets Long-form financing documentation Amendments and waivers Negotiate eligibility criteria, concentration limits, advance rates, and covenants with lenders Support the structuring and execution of new funding initiatives, including Additional SPV compartments New lenders within existing structures Alternative funding solutions (e.g. forward flow, balance-sheet first-loss funding) New vehicle structuring for EU expansion Reporting & Covenants Own all lender and investor reporting (daily, weekly, monthly), including the weekly borrowing base across all funding vehicles Ensure full compliance with: Eligibility criteria Covenants and undertakings Triggers and early amortisation events Own covenant monitoring and concentration assurance Provide oversight of the loan allocation algorithm, in partnership with data engineering Translate legal documentation into operational and data requirements Proactively identify and mitigate covenant or performance risks Produce monthly and quarterly bank/fund reporting packs Financing Events & Capital Strategy Lead end-to-end execution of upcoming financing events, including the bank refinancing, bond refinancing, and Series B fundraise Prepare investor materials, manage the data room, and coordinate advisors Manage roadshow logistics and investor narrative Own the bond programme and refinancing strategy Set hedging strategy linked to the funding vehicles Shape cash strategy relative to AUM growth and first-loss capital Own cost of funds optimisation across the funding stack Identify forward funding gaps ahead of need Modelling & Optimisation Build and maintain financial and funding models, including: Facility utilisation and availability Cost of funds and margin optimisation Stress and downside scenarios Optimise the use of funding facilities to minimise funding costs and maximise gross profit Work closely with the data function to define, validate, and improve data pipelines feeding funding models and reports Required Experience & Skills 🫵🻠Must-Haves 5–8 years of experience in structured finance, capital markets, or securitisation ◠Direct, hands-on experience with: ○ SPVs / securitisations ○ Calculation agents and rating agencies ○ Negotiating and managing term sheets and long-form financing documentation with banks or financing institutions ◠Strong understanding of: ○ Structured credit facilities ○ Covenants, eligibility criteria, waterfalls, and triggers ◠Proven ability to build and own financial models related to structured funding ◠Strong Excel / spreadsheet modelling skills ◠Ability to operate autonomously in a fast-growing, unstructured environment Nice-to-Haves ◠Exposure to bonds, Fiducie-sûreté structures, or trust-based financing ◠Previous experience in a fintech lender, alternative lender, or asset-backed finance platform ◠Experience working across multiple jurisdictions & currencies ◠Experience supporting equity fundraising processes (e.g. Series A/B), including data room management and investor materials
What We Offer
& Our benefits 🎠🤠Impact: A key role in a high-growth Fintech Flexibility: A remote-friendly culture Environment: Beautiful offices in the heart of Paris Meal vouchers via "Swile" worth €11,10 per day. Bike subscription : Coverage for your bike subscription (or public transport) and access to private parking. Health insurance : 100% coverage of family Fruit delivery : Weekly delivery of fresh, seasonal, and locally sourced fruits. Interview Process 🤠HR Interview Manager interview, our CFO Use case with the manager and the CEO Coffee fit Aria is an equal opportunity employer. We celebrate diversity and are committed to creating an inclusive environment for all employees, including those with disabilities.