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Analyst, Middle Office Operations - FX/Treasury - COO Trading Team

BangalorePosted 2 days ago
Full-timeremote

Job Description

MAIN DUTIES/RESPONSIBILITIES OF THE ROLE: 

Core Responsibilities: The Analyst – Middle Office Operations will be responsible for hands-on execution of core post-trade operational processes across the FX/Treasury asset classes. The role involves performing reconciliations, investigating breaks, validating trade data, and ensuring timely settlement and confirmation of trades.  

Responsibilities:  

Operational Execution 

  • Perform daily reconciliations, FX netting, FXPB Novations, month end rebalances and exception management across the FX/Treasury asset classes 
  • Is proficient with the cash flows
  • Investigate and resolve trade, position and cash breaks with accuracy and urgency 
  • Carry out daily/weekly/monthly processes such as billing/charges check and various ad hoc tasks 
  • Contribute to process documentation and ensure adherence to firm policies and controls. 

Control and Process Enhancement 

  • Support the identification and implementation of workflow improvements 
  • Maintain a strong control focus and escalate exceptions appropriately 
  • Participate in user testing and process automation initiatives 

Stakeholder Interaction 

  • Liaise with global Operations, Technology and Trade Support teams to resolve operational issues. 
  • Communicate clearly and regularly with management on progress and operational risks. 
  • Ensure smooth coordination with internal stakeholders including Risk, Finance and Treasury

PERSON SPECIFICATION 

WORK EXPERIENCE/BACKGROUND 

Essential  

  • 2-4 years of hands-on experience performing middle office or trade support functions 
  • Strong understanding of trade lifecycle, reconciliations and break management 
  • Good understanding of listed futures and options including knowledge of both equity and fixed income contract nuances  
  • Hands on experience in performing reconciliation processes  
  • Good Excel and analytical skills, with a focus on accuracy and timeliness 
  • Demonstrated ability to work collaboratively in a global environment 

 Desirable  

  • Familiarity with trade capture and reconciliation systems such as Gresham or Murex 
  • Involvement in automation or data improvement projects.  
  • Advanced Excel 
  • Prior experience in a hedge fund or asset management firm 

PERSONAL ATTRIBUTES 

  • Detail-focused, control-minded and execution-driven. 
  • Proactive and hands-on with strong communication skills. 
  • Collaborative and dependable team contributor 
  • Adaptable and comfortable in a dynamic, global environment 
  • Excellent written and spoken business English 

  

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Analyst, Middle Office Operations - FX/Treasury - COO Trading Team at Brevan Howard Investment Management | Renata