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Join us as Macro Mumbai TSA Onshore Analyst where you will support the Macro Sales & Trading business by managing pre- and post-trade activities across the complete trade lifecycle. You will work closely with Front Office, Middle Office, Product Control, Operations, and global stakeholders to ensure accurate trade capture, risk validation, lifecycle management, and timely issue resolution. You will also contribute to pricing support, reporting, market intelligence, client documentation, and operational controls while helping drive a scalable and well-controlled trading environment.
Job Responsibility
Support trade capture, lifecycle management, and risk validation across various Macro products
Ensure robust trade booking, verification, reconciliation, and operational control processes
Collaborate with Front Office, Middle Office, Product Control, and Operations teams to resolve trade-related queries and exceptions
Perform amendments in risk systems and maintain trade accuracy
Consolidate and analyse risk, cash flow, and P&L reports for the trading desk
Prepare and distribute term sheets and annexures for executed transactions
Assist Sales teams with pricing activities, including Cross Currency Swaps (CCS) and Interest Rate Swap (IRS) unwind transactions
Prepare MIS reports such as client flow volumes, hit/miss trackers, and pipeline trade reports
Collate market intelligence, including secondary bond trading data, primary issuances, and other market information
Support KYC onboarding and periodic KYC refresh activities
Partner with global teams across Mumbai, Singapore, London, and offshore locations to ensure seamless operational support
Ensure adherence to regulatory requirements, internal policies, and risk management standards
Requirements
Bachelor's degree in Business, Finance, or a related discipline
Excellent verbal and written communication skills with fluency in English
Understanding of the front-to-back trade lifecycle and associated operational and market risks
Strong analytical and problem-solving capabilities
Nice to have
Strong proficiency in Microsoft Excel and VBA
Knowledge of financial markets, including FX, Interest Rate Derivatives, Interest Rate Options, Fixed Income, and Structured Notes
Experience in trade booking, trade lifecycle management, and risk management processes