Responsibilities
- Accurately manage the booking and ongoing lifecycle events of Equity Swap trades.
- Investigate and resolve trade processing exceptions in a timely and effective manner.
- Perform position breaks analysis and ensure timely reconciliation and resolution.
- Maintain daily Cash Equity Hedge and FX (Change of Cost) reconciliations.
- Identify and implement process improvements to drive efficiency and reduce risk.
- Support the approval and onboarding of new products and business initiatives.
- Ensure timely and accurate submission of relevant regulatory reports.
Requirements
- 2 years of experience in trade operations in financial institutions.
- Understanding of global cash equities is essential. Familiarity with swaps, FX, corporate actions, listed derivatives, and principal investments is preferred.
- Strong awareness of operational risk and a proactive approach to identifying and escalating issues.
- Strong communication and interpersonal skills, with the ability to collaborate with diverse teams and stakeholders.
Application
If this above description fits your experience and is something you would like to explore, please click 'Apply Now' to submit your resume to us.
Our specialist consultant will get in touch with you soon, if we find your profile suitable for this position or any other vacancies we are recruiting for.
Any questions, please feel free to contact Hilda Cheng at 3907 3979.
