Finance, Treasury & Capital Markets
Raise capital, manage financial risk and ensure the smooth running of our finances.
What we’re doing
We deliver ‘best in class’ financial and liquidity management so the business can make timely commercial decisions and meet its overall strategic objectives.
This includes everything from pricing new products, dealing with investors and banking partners, ensuring we are optimising our funding sources, modelling our business plan and preparing financial statements.
We also look after raising, managing and diversifying our funding sources to support us to keep lending consistently.
A diverse capital base is what enables us to constantly lend to our borrowers, and our team works to get investment from banks, new sources of capital and managing the growth of our discretionary funds.
Don’t see the role you’re looking for? Get in touch and we’ll see if there’s a role that could be a good match.Contact us