Responsibilities:
- Structured & Flow OTC trade capture and validation in Front Office systems
- Daily control execution, reporting and break resolution
- Query Resolution
- Lifecycle event monitoring and action (Expiry/Exercise/Novation/Termination)
- Lead role in current drive to automate trading flows and processes
- Involvement in other projects (e.g. Front Office Sourcing, migrations, UAT) and ad-hoc tasks
Requirements:
- The role requires excellent Fixed Income product knowledge, particularly OTC Rates and Structured derivatives. A solid understanding of the front to back trade lifecycle processes is also necessary
- Be able to learn quickly and work independently with minimal supervision with a consistently high level of accuracy and attention to detail
- Strong communication skills are essential as the role involves constant interaction with Sales & Trading, FO Business Management and front to back teams such as Operations, Product Control, RAR and IT
- Proven ability to work in a team environment
Salary: $6,900 Per Month