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Finance Director, Balance Sheet Planning (Investor Group)
Lending Club
San Francisco, CA, United States
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Lending Club (NYSE: LC) opened in 2007 with one simple mission: build a more efficient, clear and customer-friendly alternative to the traditional banking system that offers creditworthy borrowers lower interest rates and investors better returns. Today, we’re the world’s largest online credit marketplace, and we’re radically changing the way lending operates. We’re proud of the recognition we’ve received, including being named a World Economic Forum Technology Pioneer, a CNBC Disruptor 50, and one of The World’s 10 Most Innovative Companies in Finance by Fast Company. We’re conveniently located in downtown San Francisco, California.
Your Role:
This role offers an opportunity to join a fun, talented, and growing Investor Finance team that partners closely with the Investor Business on driving value and expanding access to capital. You will report directly to the CFO of the Investor Group. You will employ technical acumen to support sound decision-making, maximize the return on scarce financial resources, and drive continuous improvement. To be successful in this role, you'll need strong finance skills, a robust familiarity with capital markets, social skills, and the ability to work harmoniously with cross-functional teams.
Responsibilities:
• Assess potential uses of balance sheet capacity, including likely return, impact on risk, scalability, and strategic alignment to business objectives
• Maintain robust forecast of balance sheet usage, including detailed understanding of drivers and risks
• Build concise reports and presentations that convey critical information to senior leaders and executives
• Explore options to expand capacity through capital markets activity
• Work with Investor Group leadership on new structuring possibilities that expand distribution capabilities
• Lead efforts to refine and improve the Company’s liquidity risk management framework
• Partner with Corporate Development to model inorganic opportunities related to Investor Group activities
• Ensure all initiatives are fully reflected in Investor Group revenue and expense projections
Requirements:
• 10+ years of Finance or equivalent experience
• BA/BS Degree required, Advanced Degree preferable
• Strong familiarity with capital markets
• Demonstrable problem-solving, quantitative, and analytical skills; strategic and critical thinking
• Ability to understand, maintain, and craft complex financial models
• Strong cross-functional experience in finance, accounting, and technology
• Consistent track record of success in prior roles
• Prior work with Banks, Asset Managers, or similar organizations
Preferences (nice to haves):
• Experience supporting a growing technology organization
• Familiarity with cash management or operations
• Direct experience with asset securitization
We are an equal opportunity employer and value diversity at our company. We do not discriminate on the basis of race, religion, color, national origin, gender, sexual orientation, age, marital status, veteran status, or disability status.