Financial Risk Management Specialist
Description
Job Description: To guarantee that all Derivatives-related transactions performed by the Global Markets department are successfully matched, validated, confirmed, and settled within agreed timeframes in suitable systems.Our team is responsible for capturing, booking, and instructing all lifecycle events accurately. We also monitor breaks derived from reconciliation reports, resolve them, and escalate when necessary.Key products handled by our Derivatives team include IRS / Structured IRS, Asset Swaps, Cross Currency Swaps, FX Options, FX Structures, Exchange Traded Futures & Options, TARF / TARN, Total Return Swaps, Credit Default Swaps, Duel Currency Deposits, Commodity Options Swaps & Spreads, Equity Options, Swaptions, Cap / Floors / FRA, PRS, Private Equity, and Margin Trading.Required Skills and Qualifications: Bachelor's degree in Business, Accounting, or a related field.Minimum Experience: At least 5 years of relevant experience in the banking sector, with at least 2 years in similar positions of progressively increasing responsibilities in an Operations function.Work Arrangements: Full-time employment No remote work options available
Posted: 7th July 2025 10.53 am
Application Deadline: N/A
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