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Our client is one of the world’s leading Banks and they are currently seeking an experienced Commodity Structured Trade Finance Transaction Manager to join their Middle Office CSTF Transaction management Unit on a permanent basis.
The main role of the Commodity Structured Trade Finance Transaction Manager is:
- To provide support in respect of facility, administrative and collateral management activities. This role will focus primarily on transactional secured facilities (including margin call financing sublimits), borrowing bases and facilities where the bank has a security agent and/or account Bank role.
- Perform reviews of term sheets, credit applications, facility & security documentation from an operational perspective to ensure workability.
- Review of client drawdown requests, including the analysis of purchase and sales contracts and security documentation to ensure that transactions are in accordance with the terms of the approved facilities and security categorisation.
- Take responsibility for daily liaison with respective stake holders such as clients, relationship and product managers, middle and operational units.
- To monitor inward communications and prioritise according to the importance of subject matter with an emphasis on client centricity.
- To assist with training and guidance to staff less experienced in complex commodity finance facilities in order to enhance the team’s product knowledge and ensure that deals are processed within approved parameters.
- At Vice President Level, to assist with the verification and validation of transactions created by junior staff to ensure precise and correct instructions are delivered to the appropriate processing areas for accurate error free execution.
- To provide technical and operational assistance to all stakeholders including clients, Relationship Managers, branches and operational units within EMEA.
Experience required of the Commodity Structured Trade Finance Transaction Manager
- Commodity Trade Finance experience within a bank
- Proficient in up-to-date market standards and practices relative to the products administered within Transaction management (e.g. ISP98, UCP600, e-UCP, URDG, Incoterms)
- Ability to determine the effectiveness of designated collateral when offered or required as security to the Bank and be familiar with the re-valuation and/or mark to market processes required to determine LTV.
- Knowledge of the requirements and responsibilities of a security agent & account bank role within the Commodity Finance business.
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