Must have a Bachelors degree or foreign equivalent in Economics, Finance, or a related field plus six 6 years of progressively responsible experience in the position offered, or a related position.br br Must have six 6 years of progressively responsible experience inbr Capital Markets business for Financial Institution clients to maintain treasurer level relationships with funding executives; Ability to market, originate, structure and execute Debt Capital Market transactions and communicate across all debt capital market products including funding, regulatory capital and liability management transactions; Balance sheet and capital modelling including aspects relevant to liabilityside modelling, solvency and capital modelling and regulatory areas including Riskweighted assets RWAs, leverage ratio, and Net Stablebr Funding Ration NSFR; Working with legacy capital instrument regulations and the application to existing liabilities to form view future hybrid capital needs; Hybrid capital structuring including bank and insurance Tier 1 and Tier 2 capital; Liability Management Modelling to price and analyze liability management transactions for potential pitching purposes and execution;br Liability management transaction analysis including Cash Tenders, Tender and New Issue and Exchange Offering; Modeling to include full appraisal of the transaction including upfrontbr Profit Loss hit, running and lifetime cash savings and net present value analysis; Working with global capital regulations, including Basel III, European CRRCRD, and European Solvency II; European Insurance company debt pricing to build detailed pricing analysis of European insurance debt capital market products; and Price new to market instruments and analyzing European hybrid capital instruments.br br 90 international travel to SCB office locations; 10 domestic travel to SCB sites.

Categories: eb3

0 Comments

Leave a Reply

Avatar placeholder

Your email address will not be published. Required fields are marked *