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Capchase

Capital Markets Manager

Capchase

Capital Markets Manager handling domestic and international credit facilities and supporting investor relations at Capchase. Seeking a detail-oriented professional in a fast-paced finance environment.

Posted 6/15/2026full-timeRemote • 🇵🇰 PakistanMid-LevelSeniorWebsite

ATS Keywords

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Applicant Tracking System Keywords

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Hard Skills
credit facilities managementportfolio performance reportingtransactional legal documentsasset backed facilitiessecuritization transactionsbalance sheet lendingalternative lendingcapital raisingfinancial analysisprocess improvement
Soft Skills
external communicationorganizational skillsattention to detailself-starteraccountabilityownershipability to manage workloadsfast-paced environment adaptabilitycollaborationcreative thinking
Tools & Technologies
Microsoft ExcelGoogle SuiteBI toolsRPythonSQL
Industry Keywords
investment bankingasset managementcredit fundfinancial servicescapital marketsinvestor relationsasset allocation strategiesinternational financelegal entities managementmoney movements

Tech Stack

Tools & technologies
PythonSQL

About the role

Key responsibilities & impact
  • 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

What you’ll need
  • 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

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