To plan and manage the efficient utilization of capital structure and debt in a manner consistent with the objectives of the Retail / Automotive verticals and AF Group
To investigate and recommend comprehensive strategies to structure and raise debt capital; including complex modeling and forecasts, managing funds and investments, and preparing periodic comparative financial reports for the Group CFO.
To continually evaluate alternative long?term, short – term and mezzanine borrowing strategies and make recommendations in accordance with the capital structure guidelines.
To develop, analyze and recommend the borrowing risk tolerance for the organization, as well as recommend performance benchmarks.
To evaluate, develop and implement cash management systems to optimize efficiencies.
To manage relationships with the organization’s financial service providers; including banks, Group, investments bankers, and other stakeholders.
To manage the due diligence and loan closings processes; creating effective process