Explore a career at the nexus of financial innovation and rigorous governance with Global Markets Issuance Structuring – Product Framework jobs. This highly specialized and critical profession sits within the investment banking and global markets divisions of major financial institutions. Professionals in this field are the architects and guardians of the frameworks that govern the creation, approval, and distribution of complex financial products. Their primary mission is to ensure that all structured products brought to market are not only innovative and competitive but also sound, suitable for their target clients, and fully compliant with an ever-evolving web of global regulations. Individuals in these roles typically act as a central hub, collaborating extensively with various teams including traders, sales personnel, legal counsel, compliance officers, and risk management. A core responsibility involves defining, implementing, and maintaining a robust product governance framework. This framework is the rulebook for the entire product lifecycle, from initial conception to post-issuance review. Practitioners are tasked with preparing comprehensive product approval dossiers for senior governance committees, where they must present and defend the product's rationale, risks, and target market. They are responsible for streamlining these approval processes, ensuring efficiency without compromising on control. Furthermore, a significant part of the role involves staying ahead of regulatory changes, such as MiFID II product governance rules, and embedding these obligations directly into the issuance and distribution processes. This includes overseeing the onboarding of distribution channels and conducting periodic reviews of existing products to ensure they continue to meet the required standards. The typical skills and requirements for Global Markets Issuance Structuring – Product Framework jobs are demanding, reflecting the role's high-stakes nature. A deep, comprehensive understanding of global markets and structured products is non-negotiable; this includes knowledge of derivatives, market dynamics, and different client segments (e.g., institutional, retail). Expertise in operational risk management and control concepts is paramount. These professionals must possess outstanding analytical and judgment skills to independently assess complex products. Exceptional communication and interpersonal skills are essential for effective collaboration across a highly matrixed organization and for presenting to senior governance bodies. They must be proactive, innovative thinkers who can challenge the status quo to enhance efficiency while simultaneously adhering to the highest risk management standards. A strong grasp of the legal and regulatory landscape governing financial markets is a critical requirement. If you are a professional who thrives under pressure in a dynamic environment and seeks a role that blends financial expertise with strategic oversight, exploring Global Markets Issuance Structuring – Product Framework jobs could be your next career move.