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

ExperiencedNo visa sponsorship
Brevan Howard logo

at Brevan Howard

Hedge Funds

Posted 6 days ago

No clicks

**Analyst, Middle Office Operations - FX/Treasury - COO Trading Team:** Key role includes executing post-trade operational processes, ensuring timely settlement, and performing reconciliations across FX/Treasury asset classes. **Duties** involve handling FX netting, exceptions management, and process improvements. Seeking candidate with **2-4 years** experience in middle office or trade support functions. Must have strong Excel skills, familiarity with trade lifecycle, understand listed futures and options. Desirable experience with systems like Gresham or Murex. Requires a **detail-focused, execution-driven** team player, comfortable in **dynamic, global environments**.

Compensation
Not specified

Currency: Not specified

City
Bangalore
Country
India

Full 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 

  

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

Compensation

Not specified

City: Bangalore

Country: India

Brevan Howard logo
Hedge Funds

6 days ago

No clicks

at Brevan Howard

ExperiencedNo visa sponsorship

**Analyst, Middle Office Operations - FX/Treasury - COO Trading Team:** Key role includes executing post-trade operational processes, ensuring timely settlement, and performing reconciliations across FX/Treasury asset classes. **Duties** involve handling FX netting, exceptions management, and process improvements. Seeking candidate with **2-4 years** experience in middle office or trade support functions. Must have strong Excel skills, familiarity with trade lifecycle, understand listed futures and options. Desirable experience with systems like Gresham or Murex. Requires a **detail-focused, execution-driven** team player, comfortable in **dynamic, global environments**.

Full 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