Desk Support & Validation: Act as the main point of contact for trading/sales desks, performing first-level trade verification and monitoring system interfaces.
Lifecycle Management: Process trade modifications, unwinds, and early terminations, while tracking any related P&L impacts.
Asset Servicing: Handle corporate actions, dividend processing, and cash flow movements for equity products.
Break Resolution: Investigate and resolve trade discrepancies and operational breaks flagged by internal departments.
Risk & Control: Complete end-of-day system checks, maintain current operating procedures, and immediately escalate anomalous activities.
Education: University degree in Finance, Mathematics, Engineering, or a quantitative discipline.
Experience: 1+ years in a Financial Markets Middle Office environment, with specific expertise in Equity Derivatives.
Product Knowledge: Good understanding of operational risks in the Equity product.
Skills: Highly organized, detail-oriented self-starter capable of multi-tasking independently under pressure.
Languages & Tech: Fluent in English. Proficient with MS Office, with VBA skills preferred.
