- Performing monthly/weekly Independent Price Verification (IPV) of traders marks against external sources
- Investigating and reporting variances to the regional counterparts with valid explanations
- Calculating various reserves like Bid Offer, Model etc.
- Resolving MTM / Collateral dispute queries by using various Front Office tools available
- Managing AeJ stakeholder and rates/FX team
- Understanding of credit, rates and FX Products like IRS,Swaptions,NDF etc.
- Strong basic concepts like Yield Curve, Forward rates, discounting etc
- Strong communication skills and attention to details
- Strong analytical skills
- Knowledge of Database e.g.: SQL, MS Access
- Strong Excel/VBA programming skills
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