




* Support the Fundraising team in preparing and analyzing accounting documents for banks, securitization companies, and investors. * Monitor balance sheets, trial balances, income statements, cash flow statements, and other financial statements submitted to financial institutions. * Consolidate information from SPEs and prepare financial packages for due diligence. * Organize tax, accounting, and corporate documents for financing, loan amendments, and credit renewals. * Maintain relationships with accounting, auditing, controllership, and legal departments. * Address pending items identified by banks and ensure prompt and comprehensive responses. * Update the data room and ensure the accuracy of information provided to financial partners. * Manage supporting documentation for fund disbursements and monitor financial schedules.


