Collateral Management Analyst Banking Operations 4 months / possible perm As a Collateral Management Analyst with experience of dealing with OTC products you will be looking for an exciting new role within Collateral Management. There is currently a position available for an individual at the analyst level, within the OTC collateral team of a very reputable Bank based in Canary...
Main responsibilities include: Providing trade support to ABS, CDO, CDS, indexing and structured deals Supporting the flow and structured desks with booking and validation of trades Creating MTM and validation reports to send to clients Booking credit events Liaising with back office to resolve queries The successful candidate will have experience Middle Office experiences of credit derivatives as well as...
Excellent opportunity for a credible Collateral Management Margin Analyst to work for a top flight Investment Bank within their Collateral Management and Valuations team (CMV). Following recent market events there is now increased regulatory focus and awareness around the importance of collateral management. There is no better time than now to be in CMV. Key Responsibilities: Perform due diligence on...
A market leading Investment Bank are looking to recruit an experienced business analyst to join the team, who is experienced in the design and implementation of front to back / inter-system reconciliations and other controls. Experience Required *Advanced in the use of MS Access & Excel *Understanding of sub ledger double entry processes * Knowledge of Operations processes, reconciliations and...
Global Investment Banking group are looking to hire an experienced Business Analyst to support the implementationof a strategic Issuer and Correlation Risk Monitoring system. The role will focus on a number of key tasks including: * Writing Business Requirements documentation pertaining to Issuer risk monitoring * Working closely with end users and other departments to identify exposures across the banks...
Quantitative Modellers for Credit Portfolio Modelling Consultancy - London Salary: Maximum £132,000 plus Car allowance, bonus and benefits Location: Canary Wharf, Docklands, East London, London THE COMPANY AND SITUATION OVERVIEW: One of the biggest names in the world of professional services has launched a modelling team producing a unique service offering for which there is currently no equivalent in existence....
Senior Business Analyst with Asset Management experience required for a top Asset Management Firm, responsibilities will be to communicate and collaborate with the development teams and the business to analyse information needs and functional requirements. The person's responsibility will be to utilise their experience in the asset management industry to consistently deliver high quality requirements and operational analyses across multiple...
Our client who is a major European Investment Bank is seeking an experienced Financial IT Business Analyst to implement the Accounting Rules Engine. The Finance IT department serves the Finance and Product Control business functions across the organisation. It has a significant presence in all major sites and comprises and is responsible for the development and support of several high...
We are world leaders in the exploration, production and distribution of energy and are looking for a qualified crude oil product control lead for a 12 months contract. The successful applicant will be working closely with the Crude Product Control Lead for our international region. Candidates must have crude oil experience. Key accountabilities: The successful applicant will display strong technical...
Our client, a London-based investment bank, is seeking to hire a DTCC Confirmations Analyst to join their ISDA confirmations group. The group is responsible for confirmation dispatch and recovery for credit derivative trades (from vanilla CDS to bespoke complex portfolio trades). This role will encompass electronic (DTCC) confirmation for primarily vanilla credit instruments in accordance with FED targets, Credit Event...
Our client is one of the largest banking and financial services organisations in the world comprising of over 8,000 offices in 86 countries and territories. The require a Risk Analyst to work within their Global Risk Team. The purpose of this role will be to provide support to the Global Risk Team. Working closely with a Risk Manager in analysing...
We are recruiting for an exciting opportunity within a Tier 1 Investment Bank. The role is to work within the Traded Products Exposure Management function as a Business Analyst supporting the implementation of a strategic Issuer and Correlation Risk Monitoring system. The key tasks will include: Writing Business Requirements documentation pertaining to Issuer risk monitoring Working closely with end users...
One of the world's leading Private Banks is looking for a Dutch speaking Trainee Private Banker due to growth within the team. Based in London the successful candidate will be required to support Private Bankers and will be required to perform the following tasks: *Maintain client records using PCRM *Provide efficient and professional telephone coverage. * Prepare Client Payment Requests...
This large investment bank is seeking a high performing BA to work within the Equity / Derivitives Operations area. This is an exciting role for a BA with full front to back operations experience. The Equity Derivatives Business in particular has a number of unique complexities and a large programme of Investment work has been initiated to meet market initiatives...
Specialist Front Office Researcher/Resourcer Working with a long standing International Executive Search & Selection , Investment Banking Recruitment consultancy who are now looking for a enthusiastic & experienced Specialist Front Office Researcher/Resourcer with knowledge of the Financial sector to join their financial team. They are looking for an experienced Specialist Front Office Researcher/Resourcer who is wanting the chance to join...
Collateral Management - Call Analyst London- £27per hour There is currently a position available for an individual at the analyst level, within the OTC collateral team. The successful candidate will be working in a dynamic and challenging environment, covering day-to-day collateral processing and controls oversight. Responsibilities The individual will be working within a growing team, currently 25, responsible for margining...
Our client, a tier 1 investment bank are seeking senior credit risk analysts / manager to join their growing team. The successful applicant will join the capital markets and Risk group focusing on Financial Institutes and non banking institutes (hedge funds, pension funds etc) You will be a subject matter expert in either Fixed Income and credit derivatives with prior...
Responsibilities * Design specification and implementation of high impact solutions around this framework * Application of the above - will reduce Operational and Financial Reporting Risk by assisting the overall re-engineering of the entire Risk submission process * Subsequent scheduling a remediation book of work based off diagnostics performed around the poor DQ quality and processes, employing strong BA, Analytical, ...
My client is a leading independent global investment manager, dedicated to helping investors worldwide achieve their financial objectives. By delivering the combined power of Their distinctive worldwide investment management capabilities, they provides a wide range of investment strategies and vehicles to our retail, institutional and high net worth clients around the world. Operating in 20 countries. Job Purpose To maintain...
This Global Wholesale Bank urgently requires a Senior Business Analyst to join the Finance Technology projects team in order to work on initiatives surrounding the Accounting Rules and Sub-ledger piece. This BA will ideally have strong working knowledge around accounting for product control or financial control within IB and progressed into an IT business analysis and/or project management role. They...
Our client, a tier 1 investment bank are seeking a Credit Risk Specialist to join their growing team. The successful applicant will join the banks Capital Markets and Risk group focusing on Financial Institutes and non banking institutes (hedge funds, pension funds etc) You will be a subject matter expert in either Fixed Income and credit derivatives with prior experience...
Business Analyst/Project Manager Docklands £400.00 - £600.00 per day A leaving Global investment banks Strategic Process Change Department require a highly efficient, well organised Business Analyst/Project Manager to join their team. This role is for a Business Analyst on the Front Office Data Sourcing Project for Controllers. This is a global multi year program to strategically source all products on...
European Investment Bank has an opportunity for a Business Analyst with good Visio skills to work on the Swapclear project. Your team is responsible for establishing the infrastructure technology and business processes to support the central clearing of OTC Derivatives (Swapsclear). You will have specific responsibility for completing detailed business requirements front to back, developing future state process model, updating...
RISK BUSINESS ANALYST * Top tier IB * Based in Docklands * Temporary opportunity * £Competitive Role * Working in the traded products exposure management team * Support implementation of Risk monitoring system * Credit issuer risk resolution * Identify exposures across systems * Write business requirement documents * Work with UAT team * Stakeholder engagement Requirements * Degree qualified...
The team is responsible for all aspects of the credit management of the banks European banking counterparties. They assist in the management of all aspects of the credit relationship for a portfolio of banks across Europe Responsibilities: * Preparing counterparty analysis for the annual renewal process in addition to transactional approvals, for which a familiarity with traded products (some or...
My client a leading Investment Bank is looking for a Market Risk Business Analyst. You will sit within the Equity Market Risk Management department and will be responsible for enhancing the existing Market Risk Management infrastructure to support an expanded set of products and markets in accordance with FSA requirements. Key responsibilities of the role include: - Ability to conduct...
Business Analyst, Derivatives Product Control/Financial Reporting To £500.00 per day City This leading investment bank based in the city require a Business Analyst to work on the rollout of CCX and to the Rates and Credit Commodities teams in London within the T+1 P&L Programme. The objective of this programme is to standardise processes and improve data quality. This will...
Our Client (a top tier European Investment Bank) is looking for candidates with a strong MI background to work to support the building of a strategic Control and MI reporting environment in Credit, Rates and Fixed Income globally for Operations. The team ensures reporting of key risk indicators and key performance indicators which highlight and drive the need for chances...
Pricing Analyst Our client is one of the World's largest, integrated energy companies with operations in more than 20 countries, actively involved in the trading of physical gas, power, crude oils and refined products in the UK and Europe as well as a range of paper derivative products such as swaps, futures and options. ROLE OVERVIEW:Part of an international team, ...
Our client is a well established asset manager based in London's West End, they are looking for an operations analyst to join their already successful infrastructure. The position will be held in the ETD trade support team, it is responsible for all the aspects of operational processing from Trade Capture, affirmation, messaging to agents and reconciliation. The duties covered range...