Manager, Corporate Finance- Capital Markets
Hybrid · Herndon, Virginia, United States
Job Summary
Manager, Corporate Finance- Capital Markets leads and executes the company’s funding strategy across derivatives, debt issuance, and liquidity management. The role involves structuring and executing ABS, warehouse facilities, unsecured debt deals from origination through post-issuance, monitoring derivative valuation and counterparty exposure, hedge accounting designations, and collaborating with bank trading desks, internal partners, investors, and governance committees. Key responsibilities include overseeing derivative strategies supporting secured and unsecured funding, ensuring post-issuance compliance and reporting, providing capital-markets-focused support for lending programs and pricing strategies, and leading ALCO-related liquidity and funding oversight. The role requires strong technical depth, real-time market comfort, independent operation in a high-volume environment, and the ability to present to senior leadership and boards. Education requirement: Bachelor's degree in Business Administration, Finance, or Economics; preferred to have capabilities across capital markets funding, ALCO governance, and hedge accounting activities.
Required Qualifications
- Bachelor’s Degree in Business Administration, Finance, Economics or similar field
- Experience in liquidity portfolio management, derivatives and hedging strategies
- Experience in mid to large capital markets
- Proven experience in a capital markets environment with emphasis on asset/liability management, debt issuance and derivative execution
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