Job title: Transaction Management Analyst
Location: Kuala Lumpur
Job summary:
We are looking to recruit an experienced team member with experience in equity derivatives, structured products issuance, or capital markets transaction support. This role within Delta Capita’s Structured Product Managed Services Group will sit within the Transaction Services division, supporting Tier 1 investment banks in the issuance and lifecycle management of cross-asset structured products, with a strong focus on equity-linked products and structured notes.
An integral part of the role involves working closely alongside front office and support departments, particularly Structuring, Trading, Sales, Legal, Compliance, Trade Management, and Operations. The successful candidate will:
Possess a solid technical understanding of financial markets, particularly equity derivatives, structured products, and associated transaction processes;
Demonstrate strong analytical and problem-solving skills;
Build effective working relationships with internal and external stakeholders across multiple seniority levels in a deadline-driven environment;
Prioritise workload effectively during high-volume periods while meeting strict deadlines;
Coordinate projects and processes involving multiple internal and external stakeholders; and
Drive process improvements across transaction management workflows.
Roles and responsibilities:
The successful candidate will be responsible for the following activities in support of our Client’s business:
Provide new issuance transaction support for structured products, particularly equity-linked products and structured notes, including booking, documentation, settlement, public offer/listing rules, SPV interaction, and paying agent requirements;
Engage internal stakeholders to ensure all transaction management activities supporting issuance are completed accurately and on time;
Review and validate termsheets and transaction documentation against booking systems;
Coordinate review and approval of transaction documentation across Trading, Sales, Structuring, Legal, and Compliance teams;
Coordinate bookings, amendments, additional sales, issue size changes, and lifecycle events;
Maintain accurate system records, ensuring the latest termsheets and legal documentation are properly updated;
Support secondary market setup and related post-issuance processes;
Assist with manually drafted documentation relating to equity derivatives or structured product transactions where required;
Identify operational inefficiencies, system limitations, and control gaps, while supporting remediation and continuous improvement initiatives; and
Draft, maintain, and update operational procedures across transaction support workstreams.