
Operations Analyst
- London
- Permanent
- Full-time
- Liaise with the execution desk to ensure trades are booked on time and trade issues are remedied same day.
- Immediately follow up with the desk and our counterparties to resolve any trade breaks.
- Actively monitor, allocate and confirm trades over MarkitWire, Tradeserve, CTM, and ICE Link.
- Actively monitor matching dashboards for FX prime brokers.
- Complete reconciliations across FX, OTC Cleared, Futures, Equities, and Bonds. Follow-up immediately with the clearing brokers, FCMs, and the desk to resolve any discrepancies.
- Coordinate the hedging of FX exposures with Treasury colleagues.
- Process OTC and collateral wires, manage fund cash balances, and ensure secure funding in the Money Markets.
- Perform swap netting at LCH and ICE to compress interest rate swaps and credit default swaps.
- Review and process FX netting of positions with prime brokers.
- Manage local market settlements and all associated corporate action events across multiple African markets.
- Processing mandatory and voluntary corporate actions.
- Liaise with counterparties, fund administrators, and custodians on trade and settlement matters.
- Contribute ideas to improving efficiency and controls. Assist with initiatives that support these efforts.
- Escalate and resolve all issues in a timely manner.
- Maintain and review all static data periodically.
- Four to seven years' work experience at a top tier financial services institution.
- A bachelor's degree in a relevant field (e.g. Finance, Accounting, and/or Economics).
- Knowledge of different financial instruments such as bonds, futures, foreign exchange, and derivatives.
- Experienced user of Microsoft Excel.
- Accuracy, attention to detail, and the ability to use critical thinking independently to resolve issues promptly.
- Self-motivated, entrepreneurial, and able to communicate well across all levels of seniority both internally and externally.
- Ability to continuously improve operational efficiency and workflow.
- Experience in the operations area of a hedge fund, investment manager, or prime brokerage firm.
- Prior knowledge of MarkitWire, Tradeserve, MTM, CTM, and OTC Clearing.
- Strong knowledge of interest rate swaps/credit default swaps and their workflow.
- VBA/programming experience would be helpful.