Complex Trade Review Risk Manager - Investment Banking
For this investment banking giant we are looking for a Complex Trade Review Risk Manager.
Review of executed, bespoke and complex structured transactions across most asset classes, products and jurisdictions to ensure that all of the economics of the transactions are captured and modelled accurately.
Reading all the executed legal documents (type of documents include (but not limited to), ISDA Schedules, Swap Confirmations, Collateral Agreements, Loan Agreements, Security Agreements, Insurance Agreements, Offering Circulars, MTMs, Notes Agreements and various highly bespoke other documents)
Preparing the trade review memo including deal summary, contingent events, modelling summary, structure diagram and including a review of the modelling of the trade in order to underlying assumptions or approximations within the booking
Presenting the trade review findings with confidence to key stakeholders and address any legal issues or modelling approximations and assumptions
Liaising with Bank's internal lawyers when inaccuracies and ambiguity in the legal documentation have been identified and engaging with external counsel for further clarification or corrections as necessary
Candidate Summary: You will have:
- Strong financial mathematics experience and experience in modelling trades, or
- Experience in drafting/reviewing complex transaction legal documentation, or • Experience within a structured product business
- Ideally background across multiple asset classes but particularly within Credit • A Bachelor's Degree or equivalent
- Professional qualification, CFA, PhD, Masters in Finance or equivalent
Qualification Summary: You will be:
Highly numerate, professional, thorough and proactive • Able to develop strong working relationships with a broad range of stakeholders. • Able to question and challenge in a constructive fashion with a strong attention to detail. • Able to demonstrable previous experience in this area