Client Services Analyst III — Equity Eligible & Growth

Western Alliance Bancorporation

Houston (TX)

Presencial

USD 83.000 - 95.000

Jornada completa

Hace 8 días
Generador de candidaturas

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Descripción de la vacante

Western Alliance Bancorporation seeks a Client Services Analyst III to manage a client book in Corporate Trust, focusing on CLOs and Leverage Finance Facilities. You will ensure top-tier client service, handle day-to-day operations, and deliver accurate reporting to clients.

You will set up payment calculations, reconcile collateral data, and produce monthly, quarterly, and annual reports while coordinating with operations and with asset managers, auditors and rating agencies.

Formación

  • 5+ years of related experience or similar field.
  • High school diploma required; Bachelor's degree in related field preferred.
  • Intermediate to advanced knowledge of general banking operations, including deposit operations, loan administration, treasury management and/or other commercial banking products and services.
  • Intermediate to advanced knowledge of regulatory and legal compliance obligations, rules and regulations, industry standards and practices.
  • Intermediate to advanced TranStar experience preferred.

Responsabilidades

  • Manage a book of Loan Clients in the Corporate Trust business and provide excellent client service.
  • Perform day-to-day operations and reporting delivery to clients.
  • Set up payment calculations in in-house systems and reconcile collateral data.
  • Compile monthly, quarterly and annual payment and tax reports.
  • Coordinate with operations teams to ensure correct payments are received and made.

Conocimientos

Client relations
Communication skills
Banking operations knowledge
Regulatory compliance
TranStar experience

Educación

High school diploma
Bachelor's degree preferred

Descripción del empleo

Western Alliance Bancorporation seeks a Client Services Analyst III to manage a client book in Corporate Trust, focusing on CLOs and Leverage Finance Facilities. You will ensure top-tier client service, handle day-to-day operations, and deliver accurate reporting to clients.

You will set up payment calculations, reconcile collateral data, and produce monthly, quarterly, and annual reports while coordinating with operations and with asset managers, auditors and rating agencies.

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