Summary
Participate in the execution and management of existing transactions along with aiding in the implementation process of new transactions (as required) funded in the Asset Backed Commercial Paper conduit and bank’s balance sheet.
Key Responsibilities
· Prepare credit analysis including financial modelling of underlying portfolio performance as well as financial modelling across a variety of asset classes (auto loan and lease, trade receivables, aircraft leasing, etc.) along with coordinating the credit process with the credit department
· Participate in the structuring and execution process of existing securitization transactions funded in the term Asset Backed Security or Asset Backed Commercial Paper markets and with new transactions (as needed).
· Participate in the negotiation and liaison of key terms with external parties including clients, lawyers, other banks, etc.
· Monitor key transaction performance trends on an on-going basis for the existing conduit book and alert the related Transaction Manager when any issues arise with respect to non-compliance of a transaction covenant
· At Transaction Renewal, prepare cash flow model to confirm rating attachment, maintain and audit client models on an ongoing basis for assigned deals
· Prepare presentations and pitch books for clients as required
· Participate in on-site due diligence reviews and client visits as required
· Participate in special projects as required
· Coordinate and execute the transaction booking processes
1. Management and Reporting
· Report to the Transaction Managers
2. Counterparties and Clients
· Develop and maintain relationships with peers in other organizations and within CACIB as well as with clients of the bank.
3. Communication
Key Internal Contacts
· Strong interaction with the relevant client coverage teams
· Credit Department
· Internal Legal Department
· Internal Compliance Department
· IT and Project teams
Key External Contacts
· Clients
· Law firms
· Other banks
· Rating Agencies
· Auditors
4. Systems Used
Internal
Microsoft Office (Word, Excel, PowerPoint), SIS, Phidias, ClientLive, Risk Portal, Galaxy (Cosmos, Legos, Comet, Altar)
External
Bloomberg, rating agency websites, EDGAR, etc.
5. Legal and Regulatory Responsibilities
· Comply with all applicable legal, regulatory and internal Compliance requirements, including, but not limited to, the US. Compliance manual and Compliance policies and procedures as issued from time to time. Financial Security requirements, including, but not limited to, the prevention of Financial Crime and Fraud including reporting obligations to the Money Laundering Reporting Officer.
Salary Range: $100k-$140k
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5. Legal and Regulatory Responsibilities, cont'd
· Maintain appropriate knowledge to ensure to be fully qualified to undertake the role. Complete all mandatory training as required to attain and maintain competence.
Competencies Required
Team spirit and ability to work in an international environment
Proficient in Excel, including VBA and Access
Competencies Desired
- Cash flow modelling and programing skills
Skills & Knowledge Requirements
Skills & Knowledge Desirables
- Knowledge of corporate banking, credit products and other funding alternatives
- Fluency in French