This role is responsible for performing/overseeing trade booking and trade validation, including the analysis and resolution of a wide variety of complex products that may require special handling or exception reporting. The role supports ongoing trade maintenance and reporting as well as supporting the implementation of improvements to the system infrastructure and control environment. The role may also require handling of regulatory queries as well as participation in audit reviews. These individuals provide general team guidance and interact daily with senior trading personnel. The Global Fixed Income Team performs end-to-end Trade Control functions supporting Local Currency Trading (LCT) and Global Mortgages & Securitized Products. Work closely with multiple stakeholders such as: Trading, Sales, Finance, Technology and Operations. The desired candidate should have a strong understanding of IR Swaps, FX, NDF, Cross Currency Swaps, TRS and Local Securities to clear in multiple settlement locations. The organization is responsible for ensuring efficient, accurate, and scalable transaction processing across a diverse set of financial instruments that often require close alignment with the business. A core priority for Operations is the establishment of robust risk management procedures and controls, ensuring both the firm and its clients are appropriately protected. At the same time, Operations is at the forefront of driving industry transformation, with a focus on enhancing accuracy, strengthening controls, and improving overall efficiency through innovation and process optimization.
Stand Out From the Crowd
Upload your resume and get instant feedback on how well it matches this job.
Job Type
Full-time
Career Level
Mid Level