An Investment Bank is seeking a highly skilled Middle Office professional to join its Equity Structured Notes Issuance team. This role is essential in supporting the Structured Notes trading desk and ensuring the smooth and timely execution of the full trade lifecycle from issuance through to maturity. Key Responsibilities Manage and oversee the issuance of Equity Structured Notes, including new trade setup, documentation coordination, and lifecycle events. Must have direct experience in the issuance process Monitor and resolve trade breaks, reconciliation issues, and discrepancies in a timely manner. Liaise with internal stakeholders to ensure compliance with regulatory requirements. Produce and maintain issuance-related reports and dashboards for internal use and audit purposes. Continuously assess and enhance controls, processes, and procedures to improve efficiency and reduce risk. Key Requirements 5 years of experience in a Middle Office or Operations role within investment banking. In-depth understanding of Equity Structured Notes, trade lifecycle, and product mechanics. Proven experience managing the issuance process for structured products. Strong working knowledge of booking systems and industry platforms Excellent communication skills with the ability to manage internal and external relationships. High attention to detail, with strong analytical and problem-solving abilities. Ability to work under pressure in a fast-paced, high-volume environment.