Public Finance Debt Officer

4 weeks ago


Houston, United States CareerBuilder Full time

Under general direction, is responsible for performing professional-level work in public finance administration in the Financial Management Division. Working conditions are primarily in an office environment. Exercises no supervision.

Work Location
100 W. Houston St.

Work Hours
7:30 a.m. - 4:30 p.m.; Monday - Friday

Manages various financial functions to include debt management plan updates, analysis and review of Tax Increment Financing (TIF) plans, and other special projects as needed.
Performs strategic financial analyses and planning that incorporates the financing needs of the City.
Prepares bond issues for capital improvement programs, to include official statement, rating agency presentations and statistical data.
Evaluates, designs and participates in the structuring of financial models and forecasts for various debt obligations.
Monitors the City's debt position, ensuring compliance with all bond covenants, and Federal, State, and local regulations.
Coordinates information related to financial management of capital improvement projects with various City departments.
Performs cash flow analyses on projects and bond fund balances, revenues, projected capital improvement program financing, existing debt and future debt issuances.
Prepares disclosure of financial and operating data reports such as annual continuing disclosure, bond disclosures, and bond compliance.
Prepares and maintains debt service schedules regarding the City's debt obligations.
Assists in coordinating the development of cash flow models and construction draw down schedules used to formulate amortization schedules.
Prepares Request for Proposals for Services, to include Financial Underwriters, Financial Advisors, Arbitrage Rebate Services and other debt related proposals as needed.
Acts as a resource to and liaison between the Finance Department and various departments within COSA as well as external contacts.
Performs related duties and fulfills responsibilities as required.
Bachelor's Degree from an accredited college or university.
Three (3) years of experience in finance.
Preferred Qualification

Masters Degree

from an accredited college or university.
Experience creating and utilizing various financial analysis reports.
Applicant Information

Please be advised that if selected for this position, information regarding employment history as it relates to the qualifications of the position will be needed for employment verification. Applicants claiming military service to meet the experience requirement for this position may attach a DD214 to the application.
Unless otherwise stated, applicants are permitted to substitute two years of related full-time experience for one year of higher education or one year of related higher education for two years of experience in order to meet the minimum requirements of the job. One year of full-time experience is defined as 30 or more hours worked per week for 12 months. One year of higher education is defined as 30 credit hours completed at an accredited college or university.
Applicants selected for employment with the City of San Antonio in this position must receive satisfactory results from pre-employment drug testing and background checks. If required for the position, a physical, motor vehicle record evaluation, and additional background checks may be conducted.
If selected for this position, official transcripts, diplomas, certifications and licenses must be submitted at the time of processing.

Unofficial transcripts and copies of other relevant documents may be attached to the application for consideration in advance.
Knowledge of applicable Federal, State, and local laws, codes, and regulations.
Knowledge of investment and portfolio management.
Knowledge of financial analysis and management concepts.
Skill in utilizing a personal computer and associated software programs.
Ability to operate a computer keyboard and other basic office equipment.
Ability to communicate clearly and effectively.
Ability to create and use complex computer spreadsheets and graphical presentations.
Ability to analyze and interpret complex financial problems, documents, and reports.
Ability to maintain confidentiality of information.
Ability to schedule and coordinate projects, set priorities, and adapt to changing priorities.
Ability to work independently, with minimal supervision, and use rational judgment in making work-related decisions.
Ability to establish and maintain effective working relationships with City staff and the general public.

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