As an Analyst within the Global Credit Trading & Syndicate team, you will engage with Debt Capital Markets to deliver the best to Issuer Clients. You will work closely with Sales teams and Traders, reconciling live books, managing risk hedging, assisting in booking trade and fee tickets, monitoring fails, cross-checking P&L, and managing prospectus delivery processes. You will ensure compliance with regulations and maintain Syndicate deal files, providing a dynamic work environment.
Responsibilities:
1. Reconciling live books during the bookbuild.
2. Managing all risk hedging activities.
3. Assisting in booking trade tickets in Athena.
4. Assisting in booking fee tickets in PTP.
5. Monitoring fails.
6. Cross-checking P&L.
7. Managing prospectus delivery for new issues.
8. Maintaining Syndicate deal files, including legal and regulatory records.
9. Supporting deal administration.
10. Booking US back-to-back tickets.
11. Staying updated on regulations related to new issues, such as Stabilisation and Canadian Wrappers, to ensure compliance.
Qualifications:
* Experience in reconciliation processes, including tie-outs and hedging.
* Knowledge of Primary One (preferred).
* Knowledge of DPD Dashboard and Athena.
* Knowledge of Credit Hybrids PTP and Bloomberg.
Preferred Skills:
* Experience with regulations around new issues.
This role involves UK regulated activities and requires meeting UK regulatory requirements, including potential approval by the UK FCA and PRA.
J.P. Morgan is a global leader in financial services, providing strategic advice and products worldwide. Our approach focuses on building trusted, long-term partnerships to help clients achieve their objectives. Our Commercial & Investment Bank operates in over 100 countries, offering a range of financial services.
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