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Legal Analyst - Cash Management Treasury Services The candidate will be responsible for providing guidance and recommendations to assist in resolving issues related to treasury services. Will provide general legal support to internal clients and lawyers. Assist in-house attorneys in reviewing and drafting various legal documents, including contracts, legal memos and other documents that relate to a particular legal transaction. Assist attorneys in the review of customer banking resolutions and related authorization legal documents. Compile and organize documentation for the foregoing and new cash management products. Support counsel to the deposit and cash management business units on banking and related laws and regulations applicable to the delivery of the respective cash management services by both a national bank and the U.S. branch of a foreign bank. Partner with in-house attorneys, outside counsel, compliance and risk management personnel to provide legal and regulatory guidance regarding policies and procedures for cash management services. Should have 5+ years of experience in a law firm or in-house corporate environment in banking or the financial services industry. Must have the ability to define problems and collect relevant information and apply relevant legal principles to relevant factual situations. Should have strong organizational, prioritization and project management skills; ability to manage competing priorities effectively. Must have proven ability to meet stringent deadlines and adapt to changing priorities, operating in a fast-paced and dynamic environment. Should have excellence in drafting; ability to present information in written and oral form clearly and effectively. Must have strong interpersonal and communication skills, both verbal and written, and the ability to work effectively with clients and outside counsel. Proficiency in various PC applications preferably MS Office (Word, Excel, Access, Power Point, Outlook) is required.
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