Job Duties: Vice President, Settlements with Goldman Sachs & Co. LLC in Dallas, Texas. Responsible for ensuring that loan servicing events are effectively captured in internal systems and accurately reflected internally and externally via market platforms; and processing transactions executed by the Firm's bankers from an operational perspective. Work closely with a broad range of other internal groups to help identify and clear discrepancies, position breaks, and ensure proper maintenance of the desk's trading risk. Identify and resolve processing issues that prevent a trade from being executed, whether externally due to client or agent issues, or internally due to systematic issues. Provide loan servicing support and coverage for secondary market loan trades. Serve a portfolio of syndicated and bilateral corporate bank debt and settle complex loan trades. Monitor and review complex legal documents related to the bank loan portfolio. Communicate effectively with external counterparts such as agent banks, clients, and trading partners, as well as internal stakeholders including Business Groups, Strats, Legal, Tax, Controllers, and Technology. Collaborate with the Bank Loans Desk in New York and regional teams on initiatives supporting Global Markets. Work on regulatory reporting related to the bank loans industry. Lead a team by providing oversight of processes and performance. Meet Key Risk Indicators (KRIs) and other performance and risk metrics as outlined by management. Manage multiple deliverables in a time-sensitive environment.
Job Requirements: Bachelor's degree (U.S. or foreign equivalent) in Finance, Economics, Business Administration, or a related field. Employer will accept equivalent qualifications based on a combination of degrees and professional experience, as evaluated by a credential service. At least five (5) years of experience in a related role, including providing operational support to a trading desk, with experience in Loan Syndication & Trading Association (LSTA) standards, loan lifecycle events processing, and trade flow management. Ability to continually reassess operational risks, recognize market and legal changes, interface with trading counterparties, and utilize critical thinking to analyze complex problems and develop solutions. Maintain awareness of industry initiatives and market trends to improve processes.
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