Parker's mission is to increase the number of financially independent people. We believe we can achieve this goal by building tools that enable independent business owners to scale their businesses profitably. Our core product combines a virtual credit card system with dynamic spending limits and software tooling to help merchants grow and optimize their profitability.
We are looking to expand our headcount quickly to support the demand. Our investors include Solomon Hykes (founder of Docker), Paul Buchheit (founder of Gmail), Paul Graham (founder of Y Combinator), Robert Leshner (founder of compound.finance), and many more. We are a Series B company that has raised over $50M from top-tier fintech investors.
We are seeking a sharp, detail-oriented, and strategic Controller to join our leadership team. You’ll play a critical role in building out the finance function at Parker, owning everything from day-to-day accounting operations to strategic financial reporting, compliance, and controls. This is a unique opportunity to step into a high-impact role at a fast-growing fintech company and help define how financial systems scale with the business.
Parker is seeking a Capital Markets Associate to own and operate the company’s debt capital stack, with an immediate focus on our SVB credit facility and future expansion into mezzanine and structured credit. This is a hybrid role combining hands-on facility management with strategic capital markets planning. You’ll work closely with our CFO, Finance, Risk, and Accounting teams to ensure efficient, compliant use of our lending facilities while driving initiatives to reduce our cost of capital and expand access to liquidity.
Operational Execution
Oversee daily borrowing base operations for our warehouse facility (and future facilities), including recycling, pledging, and compliance reporting
Ensure accurate and timely delivery of all lender deliverables — borrowing base certificates, eligibility files, waterfall reconciliations, etc.
Serve as the primary point of contact for our facility agents, custodians, and funders
Coordinate with Risk and Product to ensure collateral eligibility and concentration rules are met
Strategic Capital Markets Initiatives
Support long-term capital strategy, including scenario modeling, new facility structures, and capital stack optimization
Lead efforts to lower cost of capital, increase advance rates, and negotiate more favorable facility terms
Conduct lender engagement and diligence prep for new financing rounds or add-ons
Analyze market benchmarks and structure enhancements to improve leverage efficiency
Cross-Functional Collaboration
Partner with Finance for liquidity planning and forecasting
Work with Legal and external counsel on compliance and documentation
Collaborate with Engineering/Product to automate and scale reporting processes
5+ years of experience in capital markets, structured finance, or credit facility operations (preferably in fintech, specialty lending, or at a fund)
Hands-on experience managing warehouse lines, borrowing bases, or ABS structures
Strong understanding of credit risk, collateral eligibility, advance rates, and leverage ratios
Highly analytical with strong Excel/Sheets and modeling skills
Able to operate in the details and zoom out to strategic thinking
Excellent communication and coordination skills across internal and external stakeholders
If an employer mentions a salary or salary range on their job, we display it as an "Employer Estimate". If a job has no salary data, Rise displays an estimate if available.
Lead audit change initiatives at American Express to implement updated risk frameworks, tools, and methodologies while enabling adoption across the Internal Audit Group.
Grammarly is hiring a Treasury Analyst to manage global cash positions, execute payments and FX, and own cash application and reconciliations within a hybrid San Francisco-based finance team.
Lead and scale First Help Financial’s credit program strategy by building next-generation credit products that leverage analytics, AI automation, and cross-functional collaboration.
Senior Treasury Analyst needed to manage cash, liquidity, and bank relationships for a fast-growing fintech operating in a remote-first environment.
Mitsubishi UFJ Financial Group is hiring a Collateral Analyst to manage commodity and structured trade finance collateral, support credit facility execution, and monitor borrower exposure from its New York office.
Rue Gilt Groupe is hiring a Senior Financial Planning Analyst in Boston to provide high-impact FP&A analysis, build business metrics and models, and support strategic decision-making across the P&L.
Serve as ARL's Chief Financial Officer and Director of Business Services to lead financial operations, contract/compliance functions, and a large business services team supporting high‑priority national security research.
Experienced commercial underwriter wanted to manage and grow middle-market accounts at CNA, leveraging underwriting tools, pricing expertise, and distributor relationships to drive profitable results.
Lead Financial Relief Program and collections strategy for American Express’ US commercial portfolios, using analytics and cross-functional partnership to improve credit performance and recoveries.
Mckenzie Capital is hiring a Final Funding Supervisor in Salt Lake City to lead final credit decisioning and fund high-volume small business loans while managing the local Pricing & Funding team.
Lead modernization of planning and forecasting systems at American Express, driving TM1-based forecasting, card-fees analysis, and senior-level financial insights.
CIBC is hiring a Business Management Analyst to support US Capital Markets with project coordination, governance and controls, and management reporting in a fast-paced, client-focused environment.
QualDerm Partners is seeking an experienced Director of FP&A to lead budgeting, forecasting, variance analysis, and financial modeling to support strategic growth across its multi-state dermatology network.