Why join us?
HSBC provides internal and external clients with a Global Execution and Clearing Service across Listed Derivatives Exchanges and OTC CCP markets.The Clearing function provides a complete support structure for internal and external clients to access Listed and OTC Cleared products ranging from supporting daily clearing processes, risk management and control functions through to final contract maturity. The function is globally integrated with Operational functions operating from London, New York, Hong Kong, Kuala Lumpur and Manila who the successful candidate will have frequent interaction with.
The Opportunity:
The Clearing Operations team KL are seeking a resource to join the Global Data Services Group at the GCB 7 level, AMT.
The role will provide the successful candidate with a high exposure to the reference data and systems configuration for both asset classes within the Clearing Services domain – Exchange Traded Derivatives (ETD) and Over The Counter Traded instruments (OTC) This is an excellent opportunity for a highly motivated and experienced candidate to join a complex function, providing a broad range of data management services to a wide ranging group of internal and external stakeholders. The successful candidate will require an extensive skill set encompassing product, systems knowledge and operational risk experience.
What you’ll do:
Execution verification of set up of new Client On-boarding data in core and subsidiary systemsExecution verification of instrument Data set up and related system configuration globallyExecution verification of Commission, Fee set up and management for all regionsUnderstanding and executing position and transaction reporting requirements of Regulators and Exchanges and applying in data set up and related system configuration and issue resolutionExecution verification of the maintenance ofClient Post Trade portals – user enablement and permissions client information distribution configurationExecution verification of the maintenance of risk based data – such as margin, pricing data and interestExecution verification of the general configuration and data mapping to facilitate trade and processing flows in core systemsOwnership, delivery and Input in to Change management programmeDelivering best practice and standardised flows to key stakeholders and users of the functions managed within the team