Market Intelligence & Treasury Planning Manager

S
SoarFintech
WorldwideFull-TimeManager
Salary not disclosed
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Job Details

Languages
English
Experience
8–14 years
Required Skills
Microsoft Power BIMicrosoft Excel

Requirements

  • Bachelor’s degree in Finance, Economics, Accounting, or Financial Engineering
  • 8–14 years of experience in Treasury, Financial Markets, or Corporate Finance
  • Strong knowledge of mortgage market analysis, rate-setting mechanisms, and housing finance benchmarks
  • Proven experience in market research, financial modeling, and funding analytics
  • Solid understanding of Islamic finance instruments (Sukuk, RMBS, structured funding)
  • Familiarity with Bloomberg, Refinitiv, and regulatory frameworks (SAMA, NDMC, CMA)
  • Advanced Excel skills
  • Advanced Power BI skills
  • Proficiency in financial data terminals (Bloomberg, Refinitiv)
  • Strong quantitative and analytical thinking
  • Deep understanding of mortgage market dynamics, including mortgage rate structures, housing finance trends, and relevant indexes
  • Excellent presentation and written communication skills in English
  • Master’s degree in Applied Finance, Financial Economics, or Investment Management is preferred
  • Professional certifications are a plus: CFA, FRM, or ACI / CTP

Responsibilities

  • Monitor developments in local and global financial markets, including interest rate trends, yield curves, and central bank policy shifts.
  • Track mortgage market dynamics, including housing finance trends, primary and secondary mortgage rates, and relevant indexes.
  • Analyze NDMC issuances, Sukuk market activity, and competitor funding transactions to identify pricing benchmarks and investor appetite.
  • Analyze relationships with banks, arrangers, and market participants to gather early intelligence on market sentiment and funding windows.
  • Prepare weekly and monthly Market Intelligence Reports summarizing key market movements, opportunities, and risks.
  • Develop and maintain funding and liquidity forecasts across short, medium, and long-term horizons.
  • Support decision-making for new funding instruments (Sukuk, RMBS, credit lines, deposits) through scenario analysis and cost optimization.
  • Model funding mix scenarios, stress tests, and balance sheet projections aligned with business growth and regulatory requirements.
  • Design dashboards and financial models using Excel / Power BI to monitor liquidity positions, funding costs, and market benchmarks.
  • Perform cost-of-funding and profitability analytics across instruments and maturities.
  • Prepare concise and insightful presentations for Treasury, CEO, and Board Committees.
  • Work closely with Finance, Securitization, Treasury Operations, and Risk teams to ensure data consistency and accurate forecasts.
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