NA Rates Middle Office (Options Desk)- Job Description
The focus of the group is one of control. This particular position is in the NA Flow Options Risk Management Middle
Office. The business is a high volume flow business and involves a variety of interest rate products. There is a strong
operational discipline towards the management of the transaction cycle across the business and a great deal of effort is
necessary to ensure tight controls.
Furthermore, there is significant interaction with a variety of business partners (Accounting, Finance, FO, Marketers,
Credit, Settlements, Confirms, Technology) in order to manage the operations front to back. Strong analytical thinking
coupled with strong IT skills is required to follow the composition of P&L and risk, as well as ensure its completeness and
1. To produce and explain daily P&L / Risk but also ensure its accuracy.
2. To understand the cashflows associated with each trade and to work with the accounting and settlement teams to
ensure that settlement is accurate and timely.
3 To be able to identify areas of improvement and implement new procedures or to change existing process flows to
ensure tight controls front to back.
4. Build strong relationships across FO, Accounting, Settlements and Technology
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