Associate/VP, Credit Asset Financing
Bank of America - Charlotte, NC
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Job Description:The Global Credit team is integrated with BofA''s banking, capital markets, and traditional sales & trading teams in order to leverage the firm''s origination platform. The group is comprised of Desk Analysts, Traders, Structurers, and Sales and Sourcing professionals.The CAF desk is part of Global Credit and aligned with CLO origination and trading. CAF is engaged in the origination, structuring, and risk management of financing secured by portfolios of corporate credit and other innovative financings. The primary underlying asset class is bank loans and direct lending loans. CAF Structurers work on the modeling and analysis of existing and proposed transactions, prepare marketing materials and term sheets, negotiate documentation in concert with internal and external counsel, and assist in the risk management of the book.Role:Structure and negotiate funding transactions with asset managers, hedge funds, private equity funds and othersMeet with prospective clients to discuss potential funding arrangementsHelp maintain risk reporting for senior management and credit risk partnersPrepare credit approval materialsPrepare presentations for clients and senior managementEvaluate Risk Weighted Asset calculation and implementation for each transactionStreamline asset booking and monitoring processMonitor deal compliance with agreed upon triggersMaintain pipeline information about upcoming deals and prospective clientsWork with clients and credit to manage credit concerns about portfolio concentrationsAnalyze portfolio liquidity and volatility of US leveraged loan marketAnalyze comparable pricing for new transactionsEvaluate impact of alternative deal structures on capital and liquidity treatmentQualifications:Bachelors degree required, concentration in finance, economics or engineering preferredExperience with legal documentation is helpfulThe candidate should have strong quantitative skills and an interest in contributing to an area that combines capital markets, derivatives and securitization disciplines.Strong communication and presentation skillsAbility to multi-task in a fast-paced environment3-5+ years of experience with structured finance, leveraged finance, project management or derivatives in a marketing, trading, or legal roleJob Band:H5Shift: 1st shift (United States of America)Hours Per Week:40Weekly Schedule:Referral Bonus Amount:0 --> Job Description:The Global Credit team is integrated with BofA''s banking, capital markets, and traditional sales & trading teams in order to leverage the firm''s origination platform. The group is comprised of Desk Analysts, Traders, Structurers, and Sales and Sourcing professionals.The CAF desk is part of Global Credit and aligned with CLO origination and trading. CAF is engaged in the origination, structuring, and risk management of financing secured by portfolios of corporate credit and other innovative financings. The primary underlying asset class is bank loans and direct lending loans. CAF Structurers work on the modeling and analysis of existing and proposed transactions, prepare marketing materials and term sheets, negotiate documentation in concert with internal and external counsel, and assist in the risk management of the book.Role:Structure and negotiate funding transactions with asset managers, hedge funds, private equity funds and othersMeet with prospective clients to discuss potential funding arrangementsHelp maintain risk reporting for senior management and credit risk partnersPrepare credit approval materialsPrepare presentations for clients and senior managementEvaluate Risk Weighted Asset calculation and implementation for each transactionStreamline asset booking and monitoring processMonitor deal compliance with agreed upon triggersMaintain pipeline information about upcoming deals and prospective clientsWork with clients and credit to manage credit concerns about portfolio concentrationsAnalyze portfolio liquidity and volatility of US leveraged loan marketAnalyze comparable pricing for new transactionsEvaluate impact of alternative deal structures on capital and liquidity treatmentQualifications:Bachelors degree required, concentration in finance, economics or engineering preferredExperience with legal documentation is helpfulThe candidate should have strong quantitative skills and an interest in contributing to an area that combines capital markets, derivatives and securitization disciplines.Strong communication and presentation skillsAbility to multi-task in a fast-paced environment3-5+ years of experience with structured finance, leveraged finance, project management or derivatives in a marketing, trading, or legal roleJob Band:H5Shift: 1st shift (United States of America)Hours Per Week:40Weekly Schedule:Referral Bonus Amount:0 Job Description:The Global Credit team is integrated with BofA''s banking, capital markets, and traditional sales & trading teams in order to leverage the firm''s origination platform. The group is comprised of Desk Analysts, Traders, Structurers, and Sales and Sourcing professionals.The CAF desk is part of Global Credit and aligned with CLO origination and trading. CAF is engaged in the origination, structuring, and risk management of financing secured by portfolios of corporate credit and other innovative financings. The primary underlying asset class is bank loans and direct lending loans. CAF Structurers work on the modeling and analysis of existing and proposed transactions, prepare marketing materials and term sheets, negotiate documentation in concert with internal and external counsel, and assist in the risk management of the book.Role:Structure and negotiate funding transactions with asset managers, hedge funds, private equity funds and othersMeet with prospective clients to discuss potential funding arrangementsHelp maintain risk reporting for senior management and credit risk partnersPrepare credit approval materialsPrepare presentations for clients and senior managementEvaluate Risk Weighted Asset calculation and implementation for each transactionStreamline asset booking and monitoring processMonitor deal compliance with agreed upon triggersMaintain pipeline information about upcoming deals and prospective clientsWork with clients and credit to manage credit concerns about portfolio concentrationsAnalyze portfolio liquidity and volatility of US leveraged loan marketAnalyze comparable pricing for new transactionsEvaluate impact of alternative deal structures on capital and liquidity treatmentQualifications:Bachelors degree required, concentration in finance, economics or engineering preferredExperience with legal documentation is helpfulThe candidate should have strong quantitative skills and an interest in contributing to an area that combines capital markets, derivatives and securitization disciplines.Strong communication and presentation skillsAbility to multi-task in a fast-paced environment3-5+ years of experience with structured finance, leveraged finance, project management or derivatives in a marketing, trading, or legal roleShift:1st shift (United States of America)Hours Per Week: 40
Created: 2021-11-29