Responsible for developing valueadded partnerships with RelationshipManagement andDeal Administration toassist in client deliverables and improving defining process and techniques toimprove efficiency anddelivery
Responsible for ongoing transaction deliverables includingWaterfalls, Investor Reports,Hypothetical test trades
Calculatevarious portfolio statistics,ratios and thresholds for use inhypothetical trading scenariosandperiodic reporting
Read and interpret trust indentures with regard to reporting requirements and create technical report specifications from indenture language
Set up payment calculations in a variety of in-house systems
Receive, map and reconcile periodic collateral data
Liaise with business partners (Technology,Legal, Compliance, Trustee, RelationshipManagement, Deal Admin and Sales) to ensure highest client service levelsin compliance withUS Bank standards
ProvideInnovative clientsolutions
Use SQL andother software to manipulate the considerable amount of collateral-related information maintained in the US Bank database
Experience and Key Skills Required:
Bachelor’s degree in business, finance, economics, accounting or related field, or equivalent work experience
2-3 years of relevant work experience preferably with direct experience working with CLO’s, alternatively knowledge of syndicated bank loans / fixed income securities / securitization / debt capital markets
Strong problem-solving skills
Experience working with Financial Models would be advantageousincluding advancedExcel skills
Ability to identify and resolve exceptions and to interpret data
Ability to perform multiple tasks and meet established deadlines in a dynamic working environment with minimal supervision
Market awareness
Effective interpersonal, verbal and written communication skills
Building andmaintaining partnerships bothinternally and externally / client centric approach