Transaction Execution & Customer Lifecycle Management
Ensure timely and error-free execution across the entire customer lifecycle: onboarding (registration, AML-KYC, sanctions screening), credit application preparation support, documentation liaison, disbursement, transaction management, covenant/collateral management, monitoring, renewals and account closure.
Quotes to Customers, instruction sheets, funding coordination with BCAPD, Treasury and OPIN for disbursement discipline.
Champion post-disbursement discipline – covenant compliance, portfolio monitoring, sale/purchase of assets, and remediation of exceptions.
- Preparation of alpha quote/ Instruction Sheet of new drawdown/ prepayment/ selldowns/ rollovers
- Review of Term sheet, facility documentation and provide feedback to RMs
- Share CP/CS, covenant compliance emails with internal team.
- Front Office role for KYC/ Fenergo/NR/Dashboard
- Guide the team on KYC matters. Liaise with stakeholders to manage KYC timelines.
- Review of various applications (credit/CoC/C&I/etc.) and sharing comments with RM team. Circulation of GBR appl as Checker.
- Present Front Office activities during GB meeting.
- New Products:
- Participate in discussions with internal stakeholders.
- Review product notes, provide feedback.
- Periodic approvals post launch of new product.