Citi's Banking, Capital Markets and Advisory division is comprised of over 20 different groups, many of which are hybrids between Investment Banking and Sales & Trading. This unique mix of groups drives the fixed income and equities markets by providing products and liquidity for our clients. Typical responsibilities includes managing overall fixed income and equity relationships as well as dialogue with corporate clients; originating, marketing, structuring and executing fixed income and equity transactions; and demonstrating ways to limit interest rate and credit risk through the use of derivatives.
The Issuer Services business delivers bespoke capital market transaction services to a wide variety of clients including banks, corporations, lawyers and governments around the world. Specific transaction services are delivered in connection with Corporate Debt, Restructuring, Structured Finance, M&A, Project Finance and Depositary Receipts.
Execute and manage client transactions through review, negotiation and execution of relevant documentation in relation to structured finance debt issuances.
Cash managing a portfolio of structured finance transactions.
Act as a focal point for allocated clients
Ensure accurate set up and maintenance of transactions
Ensure appropriate client/account management coverage including annual reviews and KYC renewals
Ensure all appropriate approvals are in place prior to deal closure including KYC, deal review, trustee approvals
Participate in deal review as appropriate
Ensure billing/legal invoicing is current and accurate
Liaise with Operations regarding the implementation of new transactions
Ensure accurate creation, verification and actioning of diary dates for future events derived from relevant documentation
Ensure accurate opening, verification, management and closure as appropriate of cash and custody accounts on and offshore
Build and develop client relationships
Provide support to Sales on new business prospects as required
Contribute to audit and control activities
Any other duties as required
Knowledge of the Issuer Corporate Trust product and market desirable
Working knowledge of Structured Finance transactions desirable
Cash management experience desirable
Understanding of transaction documentation, deal execution and / or legal experience
Degree(s): University/good secondary school education.
Exceptional candidates who do not meet these criteria may be considered for the role provided they have the necessary skills and experience. Valuing Diversity: Demonstrates an appreciation of a diverse workforce. Appreciates differences in style or perspective and uses differences to add value to decisions or actions and organisational success.
Citi is an Equal Opportunities Employer
Internal Number: 5375578
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