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Actively manage risk in real time, to protect the Firm and the Firm’s clients
Timely allocate a high number of trades and associated journals and resolve any resulting economic breaks or fails associated with it
Requirements
Master’s degree (U.S. or foreign equivalent) in Finance, Accounting, or related field and one (1) year of experience in the job offered or in a related role OR Bachelor’s degree (U.S. or foreign equivalent) in Finance, Accounting, or related field and three (3) years of experience in the job offered or in a related role
Prior experience must include one (1) year of experience (with a Master’s degree) OR three (3) years of experience (with a Bachelor’s degree) with: working with the overall trade booking lifecycle including Pre-Trade, Trade Execution, Trade Clearing, Trade Settlement, and the final stage of Position and Risk Management
risk frameworks including trade and risk reconciliation
Advanced Microsoft Excel including working with macros, pivot tables, VLOOKUP, and IF/AND formulas
business analytics tools including Tableau or Alteryx
and re-engineering manual processes with creative brainstorming solutions coupled with an eye for automation