At-a-Glance:
Are you ready to build your career by joining a global financial institution. If so, our client is hiring an Operations Support.
Position Type:
Contract
Onsite
Required:
- Bachelor’s degree
- Flexible on experience
- MS Office skills required
- Automation tools such as Alteryx, Power BI, etc a plus
- Diplomacy and accuracy in dealing with clients, brokers, sales people and the daily management of the team
- Will understand the relationships our traders and sales force hold with their clients and be motivated towards increasing their market share, while having a full understanding of the economics behind the trading activity.
- A high degree of accuracy and a willingness to learn new products is essential.
- As the product lead a willingness to adapt to new initiatives and put forward your own ideas.
- A strong knowledge of Fixed Income and Equity products, settlement processes and current market initiatives is vital.
- Daily deadlines are inflexible and must be met to prevent business critical failures.
- The ability to communicate clearly and concisely with clients.
- The role requires the sharing and discussing of knowledge between the group.
- Team play and leadership is vital.
- Tasks must be completed quickly and accurately.
- Time management is another key factor that will determine success in the role.
- Need for constant communication with manager, team, and many departments.
- To work effectively with your peers and you will need to share knowledge, acting as a team to get the most out of this role and the team that support the role.
Responsibilities:
- Provide detailed knowledge of the process and its limitations in a clear and concise manner to the Business Unit and other stakeholders.
- Process Tri-party and bilateral collateral optimisation, sourcing and exposure management.
- Ensuring the efficient and timely processing of the Equity and FID financing book including recalls, substitutions, restrictions, pledging, exposure management and projections of future requirements and book breakdown.
- To become a contact for the Client Financing and Firm Financing desks operations for other interacting areas including Trading, Sales, Finance, IT and supporting teams such as settlements and client service functions.
- Position/Balance reconciliation between external Agents and Organisation.
- Provide daily financing projection to the Client Financing and Firm Financing desks
- Collate and distribute key metric data to stakeholders such as collateral schedules and haircuts.
- Collate and distribute collateral availability the Client Financing and Firm Financing desks.
- Ensure the timely processing of cash movements between Organisation Stanley, its clients, and agents.
- Provide funding projections to cash management and BRM to ensure correct funding across bank accounts.
Get in Touch:
If you think you'd be a good match, submit your resume and reach out to Sparsh at (862) 895-5696 to learn more.
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