Head of Capital Markets
Company
Kueski
Location
Mexico
Type
Full Time
Job Description
About Kueski
At Kueski we're dedicated to improving the financial lives of people in Mexico. Since 2012 we've been the leading buy now pay later (BNPL) and online consumer credit platform in Latin America known for our innovative financial services. Our flagship product Kueski Pay provides seamless payment solutions for both online and in-store transactions establishing itself as the preferred option for a quarter of Mexico's top e-commerce merchants. Notably we were the first to introduce BNPL on Amazon Mexico.
We're a tech company with a culture geared toward innovation collaboration and impact fostering a strong diverse and inclusive company culture. In 2023 Kueski was recognized as the top BNPL platform by Fintech Breakthrough and earned the title of one of Mexico's most ethical companies from AMITAI. Additionally we ranked as one of the Best Companies for Female Talent by EFY.
Purpose
This strategic and high-level position plays a crucial role in driving the company's growth and success. The purpose of this role is to oversee and manage all aspects of the company’s capital markets activities - equity and debt financing investor outreach negotiations on credit facilities - structuring pricing implementation and equity capital-raising. The role will also involve developing a comprehensive analysis of key market comparables in order to position Kueski accurately among peers in the capital-raising process.
Key Responsibilities
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Develop and execute comprehensive capital markets strategies to support the company's growth objectives
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Lead the planning and execution of capital raising initiatives including debt and equity offerings
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Monitor and analyze market trends competitor activities and regulatory changes to identify potential risks and opportunities
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Collaborate with internal teams to ensure alignment and consistency in messaging related to capital markets activities
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Establish a short list of potential lead investors and a list of follow-up investors. Initiate and manage calls with potential lenders and/or potential investors
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Structure and update data rooms with the necessary documentation to raise capital/debt
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Improve create and prepare analytical dashboards to facilitate business understanding to upload in the data rooms
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Review/Analyze term sheets and provide recommendations on potential deal breakers or areas of negotiation
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Run the entire negotiation process about operative financial and legal terms in the term sheet from potential lenders or investors
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Create and articulate FQ&A with credit risk analysts (DCM) for equity round (ECM) or for business-as-usual purposes (investors)
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Challenge push back and strengthen ad-hoc projects business cases or FP&A assumptions from other departments
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Manage different stakeholders: investment bankers (business and credit risk department) investors executives (business and credit risk department) rating agencies and Backup Servicers
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Establish long-term debt strategy and raise the required debts to support our annual business growth based on financial planning
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Monitor and analyze market trends competitor activities and regulatory changes to identify potential risks and opportunities
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Provide insights and recommendations on market dynamics industry trends and competitive landscape to support strategic decision-making
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Develop a deep understanding of existing and future debt instruments
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Follow and understand public debt markets (peers issuance screening cost levels segmented by type of debt seasonality identify trends such as macroeconomic downturn/recovery)
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Identify establish and analyze a list of comparable companies worldwide based on Kueski´s products location innovation strategy and business model to measure Kueski’s financial performance
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Establish and Update multiples & key financial KPIs dashboard to measure equity performance
 
Position Requirements
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7-10 years of investment banking (ECM & DCM) venture capital or private equity experience
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Bachelor's degree in finance economics or a related field
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MBA or CFA designation is preferred
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Proven experience in capital markets and investor relations within the financial services industry preferably in a Fintech company
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Strong knowledge of financial markets investment products and regulatory frameworks
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Excellent communication and presentation skills with the ability to effectively convey complex financial information to diverse audiences
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Demonstrated ability to build and maintain relationships with investors analysts and other external stakeholders
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Strategic mindset with the ability to identify and capitalize on market opportunities
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Strong analytical and problem-solving skills with a keen attention to detail
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Ability to work under pressure and meet tight deadlines in a fast-paced environment
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Leadership qualities with the ability to inspire and motivate a team
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Fluency in written and spoken English and Spanish
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Experience in funds raising Series D going forward (through public or private markets either Debt or Equity).
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Research skills (public and private companies industry trends)
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Experience in FactSet CapitalIQ Bloomberg
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Draw valuable insights from incomplete data.
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Research capabilities to find data
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Advanced accounting knowledge under US GAAP IFRS Understanding of key strategic frameworks
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Deep knowledge of the Fintech sector
 
Please submit an English version of your resume.
Date Posted
05/24/2024
Views
1
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