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Assistant Treasurer

Joseph Michaels International
Philadelphia, Pennsylvania Banking & Financial Services Posted Jun 15, 2026
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Job Description


Responsible for investor reporting, warehouse funding, loan sales, cash management, and providing treasury-related support to other teams along with working on the Companys term securitization program. The position is located in the Philadelphia metro area. The position is primarily in-office with flexibility on an as needed basis.
The position reports directly to the Treasurer with significant interaction with the Chief Financial Officer.

Key Responsibilities

  • Assist in the planning and execution of the term asset-backed securitization program

  • Assist in the planning and execution of warehouse lender facilities

  • Oversee the day-to-day funding process with warehouse lenders

  • Assist in asset/liability management, including interest rate hedging

  • Maintain key working relationships with banking partners, rating agencies, external counsel, and investors

  • Prepare borrowing base and investor reports, ensuring all reports, remittances, and reconciliations are completed on time and in accordance with policies

  • Monitor debt covenants, run compliance tests, and proactively identify required changes resulting from evolving business needs

  • Prepare financial analyses for management, investors, rating agencies, and banks

  • Manage due diligence efforts with banks, rating agencies, and investors

  • Coordinate and run static pool analysis and loss stress models

  • Prepare investor decks and meet with current and prospective investors

  • Manage lender audits

  • Maintain documentation of treasury functions and controls





    • Along with Treasurer oversee / manage operational functions directly and / or indirectly with one staff member:



      • The daily company cash position, ensuring sufficient funding; ensure investors are properly paid.





  • Administer the interface with internal and external bank systems and representatives to control user access

  • Administer fraud risk parameters, monitor, and report suspected fraud through appropriate channels

  • Maintain policies and procedure manuals






      • Review / prepare the accounting entries for treasury functions, including maintenance, analysis, and reconciliation of multiple general ledger accounts and preparation of certain accounting reports and analyses


      • Backup treasury staff functions as needed



    • Assist and / or manage the monthly asset sale program. Work closely with the Treasurer and VP of Syndication/Sales.





  • Provide collateral analysis to ensure assets selected meet eligibility criteria

  • Manage and update internal gain-on-sale models to determine the economics of the sale

  • Prepare due diligence files for investors on proposed sales

  • Coordinate settlement dates of the sale with investors and all internal stakeholders to ensure timely closing

  • Prepare and execute sale documents accordingly

  • Prepare accounting entries and post-closing tasks and reconciliations

  • Interface with investors and handle any buybacks as appropriate

  • Prepare various financial and regulatory reports (such as 10-Q/K and Call Reports) utilizing the financial system



  • Asset demographics

  • Portfolio performance

  • Prepare various ad hoc or ongoing financial analyses

  • Assist in gathering information and interfacing with auditors as needed



Education and Credentials

  • Bachelors degree in accounting or finance, or strong accounting, reconciliation, and control experience

  • CFA Charterholder or candidate is a very strong plus

  • CTP (Certified Treasury Professional) or candidate is a plus


Experience

  • 5+ years of relevant experience in analyzing and structuring securitization facilities and working with cash management

  • Financial services industry experience highly preferred


Technical and Functional Skills

  • Strong analytical skills

  • Deep knowledge of securitization financing structures

  • Advanced skills in spreadsheet software, including pivot tables and financial functions

  • Advanced skills in presentation software

  • Proficient in office productivity software (email, collaboration tools, word processing)

  • Working knowledge of treasury and financial systems



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