Financial Analyst

🕒 May 29

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Logo of Pipe

Pipe

51 - 200 employees

Founded 2020

☁️ SaaS

💸 Finance

💳 Fintech

SaaS • Finance • Fintech

Pipe is a company specializing in embedded financial solutions. They offer customer-friendly financial tools integrated into the software that businesses use daily, providing streamlined access to capital through their platform. Pipe's solutions include embedded capital and branded business card offerings, allowing businesses to offer seamless financial services to their customers. They work with partners across various industries, including vertical SaaS and payments platforms, to deliver these advanced financial solutions. Pipe aims to drive growth by simplifying the complexities of financial products, enabling their partners to focus on customer needs.

📋 Description

• Manage relationships with new and existing investors and lenders • Develop and maintain robust financial and operating models to support strategic planning, forecasting, and resource allocation • Track and analyze operating expenses, key financial metrics, and strategic goals, and provide detailed analysis and commentary on performance-to-plan • Support operational needs for existing funding deals, including cash management and allocation of originations to facilities • Produce periodic reporting and monitor facilities, including develop requirements for automation to improve efficiencies and reduce operational and forecast financial risk • Analyze and manage allocation of assets across multiple funding channels to optimize funding efficiency and liquidity availability • Support short-term liquidity forecasting and monitoring to ensure adequate funding availability across funding facilities and corporate treasury accounts • Support treasury operations including liquidity management, cash positioning, and coordinate fund movements between corporate accounts, funding facilities, and partner payment flows • Manage and validate funding data pipelines including funding tapes, facility eligibility datasets, and reconciliation of asset-level data used in reporting and borrowing base calculations • Collaborate with Product, Underwriting/Risk, Finance, Engineering, and Legal to maintain and improve funding program design, data pipelines, and operational workflows supporting capital markets and FP&A processes

🎯 Requirements

• 2+ years of investment banking or fixed income sales/trading/structuring (or similar), ideally in structured finance or securitization teams • Experience working in an autonomous, fast-paced environment with a track record of manage competing priorities and consistently meet deadlines • Experience produce excellent reporting • Consistent track record of attention to detail, ability to grasp new concepts quickly, and take ownership of your work • Consistent and novel use of AI tools to advance the Finance discipline • Given we are a fully remote company, we value a high level of independence and maturity in all of our team members • Bachelor's degree • Proficiency in Excel and AI tools • Commercial approach to structure, market, and sell financial products • Understanding of financial concepts and accounting principles • Good working knowledge of Looker, SQL, or similar • Strong written and verbal communication skills • Strong organizational and prioritization skills • Ability to harness financial data to inform decisions.

🏖️ Benefits

• The best equipment to help you do your job - computers, monitors, desks, chairs, headphones, speakers, webcams, keyboards, mice, and more • Flexible vacation and work hours - we believe in a healthy work-life balance (really!) • Excellent health, dental, and vision insurance • Generous parental leave for anyone growing their family, regardless of gender • Great colleagues - we value a culture of authenticity, humility, and excellence

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