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Teylor (Senior) Operational Portfolio Analyst (Factoring Funding Vehicle)(m/f/d) in Poznan, Poland

At Teylor, we are transforming access to financing for SMEs across Europe through technology, data, and smart financial infrastructure.

As we continue to scale, we are looking for an exceptional Operational Portfolio Analyst (m/f/d), who will be crucial in ensuring the health and compliance of our factoring portfolio within the designated Funding Vehicle (SPV).

Your role requires a deep understanding of the portfolio's dynamics, continuous monitoring of daily changes, and proactive identification and management of deviations from key compliance criteria, such as concentration limits, eligibility criteria or cash optimization.

Your Responsibilities

  • Portfolio Oversight & Expertise: Develop an in-depth understanding of the factoring portfolio within the SPV funding vehicle, including all underlying assets and structures.

  • Daily Monitoring & Reporting: Monitor daily portfolio changes and performance metrics. Prepare and deliver concise, timely reports on the portfolio status to relevant stakeholders.

  • Compliance & Risk Management:

  • Proactively identify and flag early deviations from compliance criteria, including breaches of concentration limits and eligibility criteria.

  • Coordinate with the Investment Management Team and operational business teams to investigate and resolve identified compliance issues swiftly and effectively.

  • Cash Flow Optimization: Manage and optimize the cash flow processes between the SPV and the operational business teams to maximize efficiency and liquidity.

  • Process Improvement: Identify bottlenecks and inefficiencies in operational portfolio management and propose data-driven solutions for optimization.

  • Stakeholder Collaboration: Serve as the primary liaison between the Investment Management Team, Risk, Credit, and the operational business teams concerning portfolio performance and compliance matters.

  • International Coordination: Work effectively in an international environment, supporting portfolio management across various European markets.

Your Profile

  • Experience & Knowledge: Minimum 3+ years of experience in financial analysis, corporate lending, or portfolio management. Expertise in Factoring and/or SPV funding vehicles is a strong plus. Any relevant financial industry expertise is mandatory.

  • Education: Degree in Economics, Finance, or Business Administration (Master's preferred).

  • Analytical & Risk Skills: Strong analytical and structured mindset. Proven ability to interpret complex financial data and structures, and to understand and apply complex compliance and risk criteria (e.g., eligibility rules, concentration limits) for compliance monitoring.

  • Communication & Collaboration: Excellent communication, negotiation, and collaboration skills. Ability to proactively manage stakeholders (including Investment Management, Risk, and Credit) and drive problem resolution across teams.

  • Work Style & International Growth: Highly self-driven, proactive, and capable of managing responsibilities independently. A keen interest in growing and learning within a dynamic, international environment, supporting business across our core European markets (PL, UK, IE, DE, IT, PT).

  • Language Skills: Fluency in English is mandatory

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