Global Securitized Products Financing and Securitization –Analyst / AVP

The candidate will hold a critical role within the Global Spread Products Financing and Securitization (GSP FandS) EMEA group administering a multi-billion dollar portfolio of asset securitization transactions. The
candidate
will gain experience across multiple products within the portfolio, which consists of various securitized asset classes (including auto, credit card, unsecured consumer loans, middle market loans and residential real estate). The candidate will:Prepare credit approval (transaction and/or annual review) and quarterly memos; assist in facility renewals, and funding, due diligence and required processes for new dealsMonitor the ongoing compliance of assigned deals with the documented financing terms and conditions, portfolio performance and financial triggers and make appropriate recommendations with the aim of identifying and mitigating credit risks. Assist with classification and risk rating processes, decisions and monitoringReview servicer reports for accuracy, investigate unusual data trends, identify deteriorating asset performance, and keep abreast of industry and market trends and customer-specific eventsAssist with special projects including stress testing, portfolio concentration analysis, internal audit/FCR, Risk Rating processes, Credit Policies and Credit Programs across product groupsAct as a contact person post-closing; liaise with other constituents such as participating banks, attorneys and external auditors. Play a supportive role in transaction restructuring, amendment, consent and waiver request with recommendation to Origination, Senior Credit Officer, and Independent RiskAssist in analysis and reporting of Basel parametersMaintain organized credit files for credit, regulatory, and compliance purposes. Perform quality control of the approval memos to ensure accuracy and completeness of inputQualification and ExperienceExperience, ideally within a credit, portfolio management or structuring role (preferably in structured
finance/securitization)
in a financial institution, rating agency, financial guarantor, or asset management firm (less experience is acceptable for an analyst role)A strong interest in structured products and credit analysisStrong Microsoft Office skills. Modeling experience is a plusStrong attention to detail – Analyst will have responsibility for due diligence and documentation of transactions to ensure that all risk and business points are coveredOral and written communications skills enabling him or her to effectively interact with internal and external constituents of all levelsThe ability to work independently to meet deadlines and initiate ideas with other members of the GSP FandS team and Independent Risk to mitigate risk and maximise portfolio returns.Job Family Group:Risk Management
Job Family:Credit Decisions
Time Type:Full time
Most Relevant SkillsAnalytical Thinking, Constructive Debate, Escalation Management, Financial Analysis, Policy and Procedure, Policy and Regulation, Product Knowledge, Risk Controls and Monitors, Risk Identification and Assessment. Other Relevant SkillsFor complementary skills, please see above and/or contact the recruiter. Citi is an equal opportunity employer, and qualified candidates will receive consideration without regard to their race, color, religion, sex, sexual orientation, gender identity, national origin, disability, status as a protected veteran, or any other characteristic protected by law.If you are a person with a disability and need a reasonable accommodation to use our search tools and/or apply for a career opportunity review
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