You are a team player passionate about working in a fast-paced, dynamic, and changing environment with demanding timelines and deadlines in a matrix driven organization. You have found the right team.
As part of this role, you would be providing comprehensive support in the day-to-day Operations for FX Products.
You will have FX trade life cycle knowledge with experience of working in FX Operations (Confirmations/Settlements/Post-Settlements) team(s) which involves having knowledge of handling swifts and/or nostro breaks including working in a currency cut-off driven environment.
You would be responsible for Drafting of Long form confirmations for Forwards/Non-Deliverable Forwards/Vanilla Options/Structured Options as different Product types.
Liaising with Legal for template queries and should have good understanding on ISDA and EMTA entities within Derivatives operations.
Ensuring that all issues are investigated and resolved in a timely manner as per SLA’s.
Building and sustaining, strong working relationships with internal Lines of Business within Operations, Middle Office & Client Services
Creating and publishing daily MIS of outstanding issues.
Control and Process Improvement mindset.
Able to critically challenge with the goal of identifying control issues and process improvement opportunities.
Required Qualifications (Capabilities and Skill):
Strong interpersonal skills and ability to build business relationships.
Ability to multitask in a fast-paced environment and very results oriented.
Ability to understand and articulate business requirements.
Excellent written and oral communication skills.
Ability to communicate with external / internal clients.
Strong analytical and problem-solving skills.
Ability to work independently and very self-motivated.
Responsive to a dynamic and constantly changing environment.