Take on a critical role contributing to the design and development of risk mitigation strategies and their execution for various banking portfolios
You\xe2\x80\x99ll be supporting external investor discussions in respect of your portfolio, helping to develop and maintain broad and deep market knowledge of asset pricing and sales volumes
It\xe2\x80\x99s a great opportunity to build your network and make a tangible impact on our business and for our customers
What you\'ll do
You\xe2\x80\x99ll assist in designing, developing and executing risk mitigation strategies for banking portfolios, to enhance capital velocity by creating headroom against risk appetite limits and optimise returns on capital.
This will involve:
Supporting a pipeline of transactional activity across a range of instruments, including single name trading, credit risk insurance, credit default swaps and securitisation and other risk transfers
Assisting with the execution and refinement of processes to ensure effective and timely asset-enablement so that assets are suitable for sale or use as collateral for funding purposes
Making sure that stakeholders are suitably briefed on the status and milestones of single name transactions
Collaborating with market-facing colleagues to understand investor requirements, market dynamics and best practices for transaction execution
Working closely with colleagues so that transactions are executed in a timely fashion and post transaction reporting and investor relations are best in class
The skills you\'ll need
To make an impact in this role, you\xe2\x80\x99ll demonstrate an awareness of capital management and portfolio tools and techniques coupled with knowledge of relevant legal policies, regulatory and statutory obligations and risk management.
You\xe2\x80\x99ll also bring:
Great analytical and problem-solving skills
The ability to multitask across a number of priorities
Good interpersonal skills, and the ability to engage with senior stakeholders credibly