Salary 💰 £75,000 - £80,000 per year
About the role Manage in-life transactions, including amendments, waivers, and extensions Handle queries related to existing transactions (e.g. repurchases, eligibility) Liaise with delivery partners on drawdown forecasts and transaction events Ensure accurate and timely reporting from transaction service providers and delivery partners Analyse investor and transaction reports and reconcile data tapes Produce internal management information (MI) and performance insights Support governance reporting and IFRS 9 accuracy Provide budget and business planning updates for transactions Requirements Extensive experience in securitisation or similar capital markets transaction structuring or management Solid understanding of relevant regulatory frameworks Proficient in Microsoft Excel, Word, and PowerPoint Thorough understanding of various securitisation and guarantee techniques Ability to mentor and support junior team members Good understanding of governance structures within financial services institutions 30 days annual leave plus bank holidays, opportunity to buy and sell up to 5 days holiday 15% employer pension contribution Flexible working Cycle to work scheme, healthcare cash plan, Group Income Protection and life assurance Paid voluntary days, maternity, paternity, adoption, and shared parental leave Benefits designed to suit your lifestyle - from discounts on retail and dining, to health and wellbeing, travel, and technology...and plenty more Copy Applicant Tracking System Keywords Tip: use these terms in your resume and cover letter to boost ATS matches.
Hard skills securitisation capital markets transaction structuring regulatory frameworks governance reporting IFRS 9 data reconciliation financial analysis budget planning business planning performance insights
Soft skills mentoring supporting junior team members communication collaboration analytical thinking problem-solving attention to detail organizational skills time management interpersonal skills