a global technology company making life-changing financial products and services available to more people nationwide, as it reshapes the financial services ecosystem. By using machine learning, a vast data network and a sophisticated AI-driven approach, provides comprehensive consumer credit and residential real estate solutions for its partners, their customers, and investors. Its proprietary API and capital solutions integrate into its network of partners to deliver seamless user experiences and greater access to the mainstream economy. has offices in New York and Tel Aviv. For more information.
About the Role
Evaluate, drive, and operationalize financial efforts through all its financial instruments and investment channels.
Manage and Plan cash and liquidity operations throughout all its purchasing accounts in front of its ongoing partners
Gain a wide knowledge of operational, business, and technological activities in order to add value to the companys investment game plan and operational strategy.
Help create structured processes that will enable the companys financial game plan.
Requirements:
B.A/ M.A/ MBA graduate (economics, business, finance) with an exceptional academic track record.
+ 3 year of experience in payment/ liquidity/ treasury operations roles in the asset management space in an international organization.
General accounting/ bookkeeping experience
Experience analyzing cash data and projecting future cash flows and liquidation scenarios
Advanced Excel skill set.
Understanding of asset management in the fixed income securities space
Ability to work as part of a cross-Atlantic team and collaborate with US-Operations teams.
Ability to work in a high-paced environment and get things done.
Ability to independently learn new subjects and understand the impact on the day-to-day of an existing organization.
Very high level of English (verbal and written).
B.A/ M.A/ MBA graduate (economics, business, finance) with an exceptional academic track record.
+ 3 year of experience in payment/ liquidity/ treasury operations roles in the asset management space in an international organization.
General accounting/ bookkeeping experience
Experience analyzing cash data and projecting future cash flows and liquidation scenarios
Advanced Excel skill set.
Understanding of asset management in the fixed income securities space
Ability to work as part of a cross-Atlantic team and collaborate with US-Operations teams.
Ability to work in a high-paced environment and get things done.
Ability to independently learn new subjects and understand the impact on the day-to-day of an existing organization.
Very high level of English (verbal and written).
This position is open to all candidates.
















