Role Overview
A seasoned operations professional to manage and optimize the end-to-end lifecycle of loan and debt instruments, ensuring accurate trade execution, settlements, and operational controls. The role bridges front-office, treasury, and back-office functions while driving process efficiency and adherence to regulatory and internal standards.
Key Responsibilities
- Execute and monitor loan operations, including trade capture, drawdowns, rollovers, settlements, and cashflow management.
- Liaise with internal teams and external counterparties (custodians, banks, clearing houses) to resolve settlement discrepancies, exceptions, and escalations.
- Interpret credit and loan agreements to establish operational setups, including rates, amortization schedules, fees, and payment instructions.
- Manage repayment monitoring, payment notices, and account setup in payment systems.
- Support process improvement initiatives, system...