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GMD Structuring has the following mandates: 1. Provide added-value solutions, marketing content, technical support/training and pricing assistance to Sales network. Products include hedging solutions and investment products. Across all available asset classes: Rates, Credit, FX/Precious Metals, Equities, Cross-Assets (aka “hybrids”), and “Alternative” solutions e.g. ESG, Risk Transfer solutions, Proprietary Indices. 2. Foster cooperation and ensures a smooth execution process between Trading and Sales. 3. Design and develop new products, tools, materials responding to clients’ needs and sales feedback and coordinate the internal development process as needed. 4. Local implementation or development of appropriate or tailor made “financing” and “packaging” wrapping solutions (“tailored financing” with embedded derivatives, EMTN, fund, loan, repack, TRS etc.) with a strong transactional motivation in order to optimise clients’ objective versus risk, accounting and/or regulatory constraints. 5. Support the cross-selling business with Sales force regionally and globally: definition and roll out of the acceptable risk parameters and best practices for the product line including participation in the structuring and negotiation of the transactions to ensure alignment with the defined risk parameters. 6. Ensure the business is carried out with the highest origination standards from both a compliance and legal standpoint. 7. Represent the business, be the point of contact on matters requiring structuring/technical expertise: Internally: within GMD, and with other departments. Externally: with Clients, Market Counterparties, Regulators, Industry bodies and group entities.
Job Responsibility:
Liaise with the sales force and coverage regarding their client’s financial requirements or targets, in terms of achieving hedging or return on investment, to identify a suitable compliant product that will produce the required results
Support the senior structurers in London focusing on FI in pricing/marketing
Work in coordination with sales to propose products and solutions (pricing, strategy, pitch, client meetings…) for hedging, liability management and investment purposes
Work with trading, CVA desk, ALM or any other relevant department on specific scarce resources relief transaction or strategy
Prepare marketing materials for products (existing and new)
Execute the transactions with Trading according to internal pricing policies
Ensure “best-in-class” trade execution from pre to post-trade to offer best client service, in continuous accordance with internal and external rules and regulations
Work closely with other regional structuring team to ensure efficiency of production and to leverage idea generation
Requirements:
Maths/Engineering/Finance/Economics related university degree and/or professional qualification
Previous Fixed Income Structuring or Non-linear trading experience
Mathematically minded
Good understanding of product lines
Structuring skills
Flexible
Creative
Innovative
Team Oriented
Analytical
Proficient with structured products and XVA pricing/systems
English: Fluent
Ability to articulate complex matters and persuade decision makers