Generic Responsibilities
- Assumes the responsibility for settlements of loan trading and asset accommodation trades;
- Implements trades of credit operated by the Front Office on the primary and secondary loan markets, by buying and selling participations or lender shares in financing operations;
- Conducts waiver analysis and computes loan amounts and fees;
- Follows-up the trading process by pursuing compliance controls and analyzing legal documents of the underlying financing operations to guarantee compliance;
- Finalizes and formalizes agreements by creating necessary transfer documents (e.g. trade confirmations, pricing letters, transfer certificates…) to support post-rade processing operations;
- Records the trades in Natixis’s loan management system to maintain an accurate database.
Specific Responsibilities
Supports more junior Officers by sharing knowledge, providing technical guidance, and providing constructive feedback to foster a collaborative and inclusive environment that promotes learning and growth.