Timely and accurate capture of all transactions in the Risk Management Systems
Complete intraday / end of day processes including completeness and reconciliation checks to ensure capture of new trading activity and general book management has been processed accurately
Ensure all controls are diligently performed, completed, and signed off on a timely basis
Clear and concise communication with all support teams to ensure the timely and efficient resolution of queries
Participate and contribute to the various strategic initiatives; keep improving and evolving processes and business architecture
Build an in-depth understanding of all trading structures from both a financial and operational perspective
Required qualifications, capabilities, and skills:
Understand all relevant derivatives and hedging products (Equity swaps, options, among other equity derivatives)
Knowledge of the front to back Operations process (including the key elements such as confirmations, settlements, and regulatory reporting) and facilitate issue resolution across teams
Must have clear communication skills and an ability to use these to work collaboratively, explain, and challenge, as appropriate
Attention to details and sense of ownership
Great team player able to work in a pressurized and changing environment
Possess strong analytical and numerical skills
Strong problem solving, control, and project management skills
Preferred qualifications, capabilities, and skills:
Strong technical skills in Excel; VBA preferred
Knowledge in Bloomberg and/or Python preferred