This list contains only the countries for which job offers have been published in the selected language (e.g., in the French version, only job offers written in French are displayed, and in the English version, only those in English).
We are recruiting for a Lead Debt & Capital Markets Analyst to join our team at Admiral Money! About us Admiral Money is the dynamic lending arm of Admiral Group, offering personal loans, motor finance, and homeowner loans since 2017. We’re building something special for our customers and are looking for curious, driven individuals ready to learn, take on challenges, and make an impact. We’re proud to be a certified Great Place to Work for over 25 years, with recognition for Women and Wellbeing. Our inclusive culture empowers everyone to Be You. Need support during the recruitment process? Just let us know – we’re here to help. The role The Lead Debt & Capital Markets (DCM) Analyst is responsible for the structuring, execution, reporting and ongoing management of debt capital markets and securitisation transactions, supporting the delivery of the organisation’s funding and balance sheet strategy. The role sits within Treasury and acts as the day-to-day technical lead for DCM and structured funding activity. You will work closely with senior leadership while coordinating internal stakeholders and external counterparties across transactions. This role combines strong analytical capability with transaction execution, regulatory awareness and a high level of process discipline. The role acts as Treasury’s primary execution contact for live DCM and securitisation transactions. Please note: This is a hybrid role, with an expectation to be in our Cardiff office two days per week.
Job Responsibility
Structuring and executing securitisation and other DCM transactions
Supporting, and where appropriate leading, the execution of external debt funding initiatives (e.g. secured funding, private placements)
Acting as Treasury’s day-to-day owner for live transactions, coordinating activity across internal and external stakeholders
Managing transaction documentation, operational setup, reporting, and the ongoing maintenance of funding programmes
Ensuring all activity is delivered in line with the organisation’s risk appetite, regulatory requirements, and governance framework
Supporting market analysis, transaction proposals, and execution recommendations
Driving continuous improvement across transaction processes, reporting, and controls
Supporting funding-related regulatory and investor reporting requirements
Acting as a subject-matter expert within Treasury for securitisation and DCM execution, providing technical oversight and informal coaching to junior analysts where required
Requirements
Proven experience in securitisation and/or debt capital markets execution, ideally within a bank, specialist lender, or financial institution
Professional treasury, accounting, or financial qualification (or working towards one)
Strong understanding of structured finance products and funding structures
Experience coordinating complex transactions involving multiple internal and external stakeholders
Solid understanding of relevant regulatory frameworks (e.g. UK/EU Securitisation Regulation, disclosure, and reporting requirements)
Strong analytical capability, with the ability to translate complex structures into clear, practical outputs
Excellent attention to detail and a strong control mindset
Strong written and verbal communication skills, with the ability to engage and influence senior stakeholders
What we offer
33 days holiday (including bank holidays) upon joining, increasing to up to 38 days (including bank holidays) with tenure
Option to buy or sell up to an additional five days of annual leave
Up to £3,600 of free shares each year after one year of service