Capital Markets Manager

🕒 June 15

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Capchase

51 - 200 employees

Founded 2020

💸 Finance

☁️ SaaS

💳 Fintech

💰 $400M Debt Financing on 2022-07

Finance • SaaS • Fintech

Capchase is a company that provides financing solutions specifically tailored for B2B SaaS companies. It offers fast, non-dilutive funding options based on future recurring revenue, enabling companies to grow without giving up equity. Capchase's platform also facilitates flexible payment terms for customers, allowing businesses to receive upfront payments while offering installment plans to their clients. With integrations, automated collections, and a seamless digital payment experience, Capchase aims to reduce buying friction and accelerate sales cycles for SaaS businesses, ultimately helping them scale efficiently and sustainably.

📋 Description

• Manage domestic and international credit facilities including funding requests, waterfall distribution and exception requests • Maintain and create new relationships with Capital Markets professional network; support senior management on business presentations and investor relations • Create and enhance streamlined processes of the business including balance sheet assets and increasing • Support and run presentation, analysis and transactional legal documents for new asset backed facilities, asset sale transactions, asset pool credit ratings and securitization transactions. • Support in bank relationships, bank account maintenance, and opening/closing accounts • Report on portfolio performance including identifying and raising greater income and lower risk opportunities, facility pledging and maximized balance sheet efficiency • Coordinate monthly, quarterly and annual reporting cycles with Finance colleagues to manage multiple legal entities, money movements and asset allocation strategies • Cross-collaborate with other internal functions to help structure and develop new products and features

🎯 Requirements

• BA/BS degree economics, finance, business administration or a related field preferred • 5+ years of prior experience at an investment bank, asset manager, credit fund, lender or other relevant financial services industry • Experience with alternative lending and balance sheet lending platforms; international monies experience a plus • Extremely strong external communication skills; prior experience raising capital or evaluating investment opportunities a plus • Self-starter able to manage workloads and balance competing high priority tasks in a fast-paced startup environment • Commitment to process improvement and the ability to think “out-of the box” • Superior attention to detail and accuracy and excellent organizational skills • Dedication to continual improvement; strong sense of ownership and accountability • Strong technical skills with Microsoft excel, Google Suite, BI tools a requirement; R, Python, SQL a plus

🏖️ Benefits

• Health insurance • 401(k) matching • Flexible working hours • Paid time off • Professional development opportunities

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