About The Position

RBC Capital Markets is a global investment bank within the Royal Bank of Canada, one of the largest providers of financial services in the world. RBC ranks among the top five banks in North America by market capitalization and has one of the highest credit ratings of any financial institution in the world. This role is a 4-month fixed-term position within the COO Group, focusing on Fall Trade Support.

Requirements

  • High degree of accuracy, attention to detail, ability to learn quickly and handle high volume.
  • Work effectively and reliably under pressure with minimal supervision.
  • Strong organizational and interpersonal skills.
  • Excellent communication skills both verbal and written, including presentation skills.
  • Relevant industry experience with an emphasis on Interest Rate Derivatives products and market practices.

Nice To Haves

  • Experience/working knowledge of Fixed Income Derivatives products and ISDA terminology.
  • Strong understanding of risk concepts and risk management practices.
  • Knowledge of various Systems: Murex, Infinity, Swaps Wire/Markit Wire, Bloomberg & TradeWeb.

Responsibilities

  • Ensure that all trades are input correctly by Toronto Traders in Infinity and Murex System, and that trades are properly assigned with back office flags for downstream confirmations, rate reset, and payment processing if applicable.
  • Responsible for ensuring that all late deals from previous day are verified and booked.
  • Verify that all new deals, amendments, cancellations, assignments and buyouts are authorized by the traders in accordance with the banks Standing Order policies.
  • Actively monitor processes and work flows between the trading desks and the Operations Group to ensure smooth flow of tickets/information (including amendments, assignments, allocations, buyouts and cancellations).
  • Identify and recommend changes to improve efficiencies.
  • Monitor the Assignment Mail Box and inform traders to respond to request before within time constrained deadlines.
  • Ensure all assignments are completed with notice to parties involved.
  • Identify and initiate system change requests.
  • Identify/troubleshoot issues/bugs and assist with JIRA logging/prioritization, business requirement documentation, testing and PIV’s.
  • E-Trading STP/Portfolio Optimization initiatives driven by FO priority.
  • Optimize and maintain departmental reconciliations e.g. identify issues, requirements, matching rules, custom fields etc. for mitigating risk, adding new products and/or improving processing efficiency in Intellimatch (Infinity system) Trade Type Reconciliations and Xceptor (Murex system).

Benefits

  • Opportunities to do challenging work
  • Leaders who support your development through coaching and managing opportunities
  • Ability to make a difference and lasting impact
© 2026 Teal Labs, Inc
Privacy PolicyTerms of Service