The Asset Securitization Group is a leader in the securitization industry with a significant footprint in both the Canadian and US market. With experience in both Asset Back Securities (ABS) and Asset Back Commercial Paper (ABCP) markets, the group is highly regarded by both issuers and investors. The group works closely with a distribution team that has been instrumental in pioneering the securitization markets in Canada and in making Client one of the top dealers of ABCP and ABS. ASG is focused on traditional asset classes originated by large Canadian and multi-national corporations, many of which are important clients of The Toronto-Dominion Bank.
In this role you will have an opportunity to understand the Asset Securitization business, while driving business results and providing legendary experiences for our clients and partners. As an analyst we will be looking for someone to take initiative and identify opportunities to work smarter and simpler. You are also expected to understand and manage market and operational risks inherent in the business.
Job Accountabilities:
Ability to lead/collaborate and build and maintain strong relationships with key partners from across Client (Sales & Trading, Accounting, Technology, and other key groups).
Perform regular/routine processing functions such as month end procedures, account reconciliations, projections, running queries and reports, variance analysis, suspense and error resolution and set-up/maintenance of transactions / entries where applicable.
Update Funding and paydown request and process SWIFT payments – MT 202, 103
Manual generation of monthly Invoices
Conduct standard reporting and analysis as directed
Provides specialized analysis / administration, processing and verification or reconciliation support as assigned
Provide reporting to rating agencies like DBRS
Forecast and raise daily funding requests
Demonstrate an innovative and can-do approach while building and cultivating an environment of innovation and participating in department projects to stream line our processes.
Oversees resolution of issues and risks effectively and understands when to inform senior management.
Deep understanding of operational risk management to effectively identify issues and dependencies and evaluate and enhance controls while keeping well informed of emerging issues, trends, and evolving regulatory requirements and assess potential impacts.
Capital Market experience
Other Qualifications/Skills/Experience:
Self-starter with a high degree of initiative and the aptitude to learn and adapt quickly
Working knowledge of the Asset Securitization business
Basic knowledge of finance/accounting
Ability to read and interpret credit agreements (CAIROs)
A general understanding of the finance unit and operational functions for the Securitization business
Strong analytical and problem solving skills; have an eye for detail; initiative to follow up on items or determine appropriate steps for timely resolution
Effective communication skills – both written and verbal
Strong interpersonal skills with an ability to easily relate to peers and management
Expert skills in Microsoft Excel and other Microsoft Office applications
Python or other analytical program experience
Ability to handle projects; provide leadership on projects and demonstrate out of the box thinking
Problem solving and working in a professional environment as part of an integrated team
Well versed in regulatory rules and regulations impacting asset securitization operations.
Highly organized and well-developed skills in negotiating and influencing with the capability to deal with conflicting points of view and to effect creative and responsive solutions
Must Have:
Capital markets 2yrs
Advance Excel 2yrs
FI industry knowledge
Nice To Have
Programing / macros / Python
Job Details12681Contract6 monthsToronto
Expected salary
Location
Toronto, ON
Job date
Fri, 29 Nov 2024 23:21:20 GMT
To help us track our recruitment effort, please indicate in your email/cover letter where (jobsnearcanada.com) you saw this job posting.