Develop and manage new investor relationships (see above) globally in the secondary market
Distribution of Assets booked in the Branch/Bank in the mapped Region to enhance returns or mitigate risk.
Manage risk distribution and risk participation pipeline, including export LCs and corporate trade receivables
Prepare credit applications and annual credit reviews for non-bank financial institutions (including insurers) involving in-depth analysis of customers\xe2\x80\x99 financial standing, industry review, country assessment and business outlook; present credit cases to internal committee
Participate in and distribute syndicated loans for financial institutions
Help structure and facilitate primary and secondary trade transactions on an end-to-end basis with corporate clients, internal stakeholders, external investors and trade/FI colleagues in the bank\xe2\x80\x99s network; this covers from deal origination to coordinating and supervising proper execution by trade operations
Work closely with the network of key internal stakeholders in the bank\xe2\x80\x99s network (including Corporate Banking RMs, Financial Institutions RMs, Country Managers and other key risk stewards) to tap opportunities, address constraints and highlight counterparty or operational risks
Review and handle negotiation and execution of legal documentations and other trade-related documents including assignment agreements, participation agreements, syndicated credit agreements with specific focus on transfer mechanics within market norms
Maintain macroeconomic awareness of secondary market trends, dynamics, investor activity, risk appetite, pricing analysis, country risk and ratings, liquidity positions
Provide insights on market dynamics highlighting market opportunities and risks, including pricing and country/FI risks
Developing presentation and pitch materials for client meetings and internal discussions
Ensure that the department\xe2\x80\x99s activities is reported to management timely
Ensure compliance with all applicable regulatory and bank\xe2\x80\x99s rules, policies and regulations
Ensure compliance with Know-Your-Client (KYC) documentation and Anti-Money Laundering (AML) policies and procedures in order to effectively mitigate and manage risk
Requirements
Bachelor\xe2\x80\x99s/master\xe2\x80\x99s degree in business, finance or related field from a good institution
6 to 8 years of relevant experience in financial institutions relationship management, trade sales and/or trade risk/assets distribution with solid network of contacts in banks and non-banks financial institutions
Relevant experience in distributing Financial Institutions and Corporate assets via risk participations to a wide investor base
Good knowledge of Trade Products and Services such as Letters of Credit, Guarantees, Receivables Finance, Supply Chain Solutions, Structured Finance
Good knowledge of legal aspects of participation agreements
Ability to work independently without much supervision; good organization skills, planning capacity and time management
Resourceful and enterprising team player who is highly motivated, proactive with a positive attitude, comfortable taking ownership of and leading follow-ups with internal and external stakeholders
Strong interpersonal and communication skills with the ability to influence peers / partners both internally and externally
Ability to work effectively with internal stakeholders and cross culturally
Good writing and presentation skills
Willingness to provide coaching to junior members within the team
Fluency in Mandarin (oral, reading and writing) will be advantageous
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