Posted By
Posted in
Banking & Finance
Job Code
114342
Responsibilities:
- Provide support to the Front Office in terms of trade validation, reconciliation, settlements and handling queries pertaining to trade issues from internal and external counterparties and ensuring executed trades are affirmed on trade date.
- Manage various OTC swap products – interest rate swaps, credit derivatives, equity link & commodity swaps in Calypso.
- Disseminate trade information to interested parties (custodians, fund accounts, etc).
- Review the daily MTM reconciliation performed by the offshore team
- Review and execute ISDA confirmations.
- Provide standard and ad-hoc reporting to the investment team.
- Process credit event settlements, exercise, assignments and novations necessary.
- Identify efficiencies and suggest improvements within existing operational processes.
- Partner with Global teams to provide superior client service.
Requirements:
- Min 12 yrs of experience in investment banking
- OTC Derivatives operations
Soumya Venugopal
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Posted By
Posted in
Banking & Finance
Job Code
114342