Director of Capital Management - Raleigh, United States - Accentuate Staffing

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    Description

    Accentuate Staffing is currently recruiting for a Director of Capital Management with a financial organization in Raleigh, NC. In this role, you be responsible for overseeing the efficient management and deployment of capital resources and management of ratings to support the company's strategic objectives.

    • Develop deep understanding of various capital regimes (regulatory, PMIERs, rating agencies, economic) with focus on reporting, forecasting and development of capital solutions that achieve compliance and optimize capital efficiencies & financial performance.
    • Develop capital strategies and manage capital planning across companies' legal entities to include capital allocations and return of capital strategies including dividends and share repurchase program
    • Maintain capital modeling within companies broader financial forecast with goals to maintain robust balance sheet and optimize capital structure / minimize cost of capital.
    • Assess capital stress testing and implications to business decisions and contingency plans.
    • Analyze financial data to identify trends and opportunities for improving capital efficiencies. Collaborate with competitor analysis team on market comparisons of capital solutions across mortgage insurance sector Co-lead for Capital & Investment Committee
    • Finance lead for regulatory relationships including NCDOI, GSEs / FHFA and coordinate on BMA work streams as needed.
    • Develop ratings objectives, strategies and manage rating agency relationships.
    • Manage credit risk transfer business objectives of providing cost-efficient capital and volatility protection. Establish operating leverage targets and execution plans.
    • Evaluate, execute, monitor, and report on credit risk transfer transactions with traditional reinsurers and capital markets.
    • Enhance reinsurance business processes and tools including reinsurance systems, risk transfer assessments, contract terms and due diligence.
    • Manage key constituents across credit risk transfer program (reinsurers, brokers, capital market investors, investment banks, GSEs, etc.)
    • Monitor and manage the company's capital structure to maintain optimal debt and equity levels.
    • Evaluate debt management including establishing leverage targets and execution plans.
    • Execute, monitor, and report on debt transactions and other capital markets solutions.
    • Monitor market conditions and economic trends to anticipate potential impacts on capital markets.
    • Manage investment banking relationships.
    • Collaborate with internal teams to support strategic initiatives and capital-intensive projects including the coordination of business diversification opportunities across company.

    Requirements:

    • Master's degree in business, finance, or related field preferred
    • A minimum of 10 years related experience.
    • Strategic thinker and proficient decision-making
    • Excellent verbal, written, presentation skills with strong ability to communicate effectively in a professional manner.
    • Strong understanding of insurance, accounting, and regulatory issues
    • Proven analytical and problem-solving skills.
    • Mortgage and or banking experience is required