Job Description

Job Description

The role will involve the following critical activities:
  • Daily trade confirmation, coordinating with counterparty & processing trade in the system.
  • Perform daily, weekly & monthly reconciliation between client, counter party, fund admin and prime broker data.
  • Investigate on pending trade settlements, cash & position breaks and trade discrepancy.
  • Follow up with external sources including clients for break resolution.
  • · Hands on with process and assist team members in query resolution.
  • Assisting manager in meeting SLA, adhoc process and UAT.
  • Training new joiners.
  • Job Requirement

    Skills Required

    · MBA (finance) with 5+ years of OTC Trade processing and confirmation experience· Should know product life cycle of CDS, IRS, EQ Swaps, OTC Options & FX Options.· Knowledge of OMGEO, DTCC, MTM & market trade processing applications like Imagine & Ezecastle.· Hands on with MS excel. Able to write macro preferred.· Experience in settlement wire processing.· Good in written and spoken communication. Advantageous Skills
  • Experience in reconciliation of exchange trade product cash and position reconciliation.
  • Experience in client onboarding.
  • Initiated / participated in process automation.
  • Prepared process documents
  • Experience in preparing MIS.
  • Academic Requirements

    · MBA

    Apply for this Position

    Ready to join ? Click the button below to submit your application.

    Submit Application