Integrate a solid understanding of industry, business standards, and practices on Syndication Loans and Floating Rate Notes;
Perform senior checker role to manage and maintain the daily Issuance / settlement of Floating Rate Notes and syndication agency function;
Provide suitable guidance to team members
Applies professional judgement, analytical thinking and knowledge of data analysis tools and methodologies to support daily operation and satisfy business requirement;
Ensure all transactions adherence to guidelines andpliance with Bank policy;
Has direct interaction with various internal stakeholders and external customers to disseminate information or address enquiries in a timely fashion;
Interpret and analyses report data driven to meet the business requirement;
Demonstrate a understanding of the loan documentation process to identify the workflow gap and streamline work process;
Minimize the risk to the bank and provide rmendation for productivity;
Provide timely management, escalation and resolution of any requests / enquiries / issues / errors to loan documentation and operation process;
Participate in UAT to support system implementation and project assigned;
Handle ad-hoc matters and tasks assigned from time to time
Willing to serve as a backup for the maker role on an occasional or emergency basis;
Requirements :
Over 10 years of Syndication Loan Administration and Floating Rate Notes in-depth experience in global banking industry;
Handling Syndication Loan processing and Floating Rate Notes issuance as agent and participant role experience is a must;
Consistently demonstrates clear and concise written and verbalmunication skills in English; Korean speaking is an advantage;
Strong interpersonal skills, a pleasant attitude and convey a sense of team spirit;
Excellent understanding of how different areas collaborate and contribute within teams to achieve overall business objectives;
Possess strong problem-solving skill with critical thinking, responsible and works well under pressure and multi-task;
Sound knowledge of risk types, policies and control measure and processes related to loan operation and Floating Rate Notes issuance / settlement procedure via Euroclear / Clearstream experience;