Rbc

Finance

SeniorManager,AssetSecuritizationAdmin

Toronto, Ontario, Canada FULL TIME
Market Sentiment
HIGH DEMAND

Neural analysis suggests this role is
optimal for Senior candidates.

The Brief

“Senior Manager, Asset Securitization Admin at Rbc. Skills: Asset Securitization Admin, NHA MBS and CMB program, pooling and settlement process, cash reconciliation, collateral management, investor report, structured finance transactions, system development, Canadian securitization structures, mortgage products. Oversee the end-to-end operations including execution, and the ongoing administration for the NHA MBS and CMB program.. Develop and support an efficient operational infrastructure and con”

What You'll Achieve.

Develop and support an efficient operational infrastructure and control framework; ensure program compliance and data integrity; ensure accurate and smooth settlement; produce key performance indicator and forecasts; ensure an effective operational infrastructure and control framework

Industry & Context.

Finance
Problems you'll solve

Analytical with problem-solving skills; Critical Thinking; Group Problem Solving

What They're Looking For.

Must Have

University Degree in Business, Computer Science, Math, Engineering or other relevant disciplines, Highly enthusiastic and motivated to do well, Superior organizational and interpersonal skills, Attention to detail, sense of accountability, Analytical with problem-solving skills, VBA, SQL, Python, Tableau, Bloomberg

Nice to Have

Detailed knowledge of specific Canadian securitization structures, Graduate Degree or CFA Designation, Ability to works with Data and Systems, Knowledge of mortgage products, Previous working experience in Canadian securitization industry, Experience with database management, applications or mainframe systems

What You'll Do.

Oversee the end-to-end operations including execution

and the ongoing administration for the NHA MBS and CMB program.

Develop and support an efficient operational infrastructure and control framework with respect to the ongoing reporting and cash settlement processes.

Oversee the pooling and settlement process.

Review pooling criteria

transaction documentation to ensure program compliance and data integrity for upstream and downstream workflows.

Manage day-to-day operations

including cash reconciliation

collateral management

internal and external audit requests.

Oversee the preparation and submission of monthly investor report within the program timeline.

Validate report for data completeness and accuracy

Coordinate internally and with business partners to ensure accurate and smooth settlement in accordance with the program guidelines.

Act as Corporate Treasury’s liaison with internal and external business partners and auditors.

Develop ad hoc reports

forecasts where required

produce key performance indicator and forecasts.

Provide key guidance in the development and execution of new structured finance transactions

coaching to ensure an effective operational infrastructure and control framework.

A key participant in system development

user acceptance testing

How You'll Work.

Team & Collaboration

Coordinate internally and with business partners to ensure accurate and smooth settlement in accordance with the program guidelines.; Act as Corporate Treasury’s liaison with internal and external business partners and auditors.; working together to deliver trusted advice to help our clients thrive and communities prosper.; collaboration; Collaboration

Communication Scope

Communication

Process & Methodology

system development, system enhancements, user acceptance testing

Full Job Description

**_Job Description_** _What is the opportunity?_ Oversee the end-to-end operations including execution, and the ongoing administration for the NHA MBS and CMB program. Develop and support an efficient operational infrastructure and control framework with respect to the ongoing reporting and cash settlement processes. _What will you do?_ * Oversee the pooling and settlement process. Review pooling criteria, transaction documentation to ensure program compliance and data integrity for upstream and downstream workflows. * Manage day-to-day operations, including cash reconciliation, collateral management, servicing, internal and external audit requests. * Oversee the preparation and submission of monthly investor report within the program timeline. Validate report for data completeness and accuracy * Coordinate internally and with business partners to ensure accurate and smooth settlement in accordance with the program guidelines. * Act as Corporate Treasury’s liaison with internal and external business partners and auditors. * Develop ad hoc reports, forecasts where required, produce key performance indicator and forecasts. * Provide key guidance in the development and execution of new structured finance transactions, system requirements, coaching to ensure an effective operational infrastructure and control framework. * A key participant in system development, system enhancements, user acceptance testing, and cross training. _What do you need to succeed?_ **Must have:** * University Degree in Business, Computer Science, Math, Engineering or other relevant disciplines * Highly enthusiastic and motivated to do well * Superior organizational and interpersonal skills * Attention to detail * Strong sense of accountability * Analytical with strong problem-solving skills * Strong VBA, SQL, Python, Tableau, Bloomberg **Nice-to-have:** * Detailed knowledge of specific Canadian securitization structures. * Graduate Degree or CFA Designation. * Ability to works with Data and Sys

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