Role & Responsibilities of the position in brief:
- Knowledge of OTC FID and Equity products.
- Responsible for ensuring successful completion of BAU without issues / errors.
- Review “Front-to-Back” risk within the process and implement controls.
- Knowledge of key industry matching and execution platforms such as DTCC, Marketwire.
- Knowledge of clearing across LCH, ICE and CLS.
- Handling overall settlements and associated escalations.
- Participating in projects and UAT’s and providing inputs to IT & BA’s from an operations perspective.
- Responsible for MIS reporting and analyzing deviations, if any.
- Liaise with various IT teams to prioritize system enhancements and developments.
Key Skills:
- Product & Process skills/experience – at least 2+ years of relevant OTC settlement experience, preferably current experience.
- Should possess excellent product knowledge across CDS, IRS, CCS, Swaptions.
- Should have knowledge of Capital Markets and Investment Banking Operations Should have understanding of process flows.
- Soft skills - Individual with great energy and enthusiasm
- Excellent in written & verbal communication skills
- Advance knowledge of MS Office preferred.
- Flexible to work in any of the shifts (Asia / European / US)
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