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Join us as an “Liquid Financing Analyst – RMG Capital & Funding" at Barclays, where you will be leveraging technology & risk expertise to aid Management in effectively understanding and managing the Risk & Capital profile of Global Markets.
Job Responsibility:
Provision of immediate and efficient technical support to traders and sales professionals on the trading desks
Coordination of trade execution by liaising with traders, clients, and other internal teams
Maintenance and updating of trade records, transaction logs, and client databases accurately
Reports, presentations, and documentation preparation to support sales and trading activities
Monitoring of market data and assist in the analysis of financial information for trading decisions
Operational tasks such as processing trades, confirming orders, and resolving trade discrepancies
Requirements:
Graduate or MBA from top tier Engineering/Business school
Excellent verbal and written communication skills
Experience in Risk & Capital tools, methodologies, and Markets risk concepts
Knowledge of derivatives, risk analytics, stress testing, and pricing models
Experience in creating Dashboards in Tableau, QlikView or other similar platforms
Strong technical skills across Python, SQL, Microsoft Excel
Stakeholder Management and Leadership
An understanding of the Regulatory Framework
Able to work effectively as part of a large team
Well organized with good time management skills
Nice to have:
Understanding of FCCM (Financial Collateral Comprehensive Method) and other standardized calculations covering asset classes like Liquid Financing
Basic understanding of repos, stock lending and Prime brokerage activities including concepts of Daily Margin Exchange and Portfolio Netting (GMSLA, GMRA, etc.)
Utilize cutting edge technology to develop tools & automate existing and new responsibilities wherever possible
Experience in Counterparty risk (PFE, Gross notional, EEPE) or Market Risk (VaR, Expected Shortfall)