The Rates Middle Office Portfolio Optimisation team provides a high level of support and control across all aspects of the flow trading process. Responsible for supporting and executing compression, clearing and backloading events, and for making an important contribution to compliance with global regulatory requirements for clearing and bilateral margin.
The team also has an assurance role on global production activities, ensuring that the control environment is fit for purpose, and driving streamlined and efficient front-to-back operations.
To be considered for this opportunity you need to have strong portolfio optimisation / middle office experience, and strong product and lifestyle understanding of at least one of rates, credit and FX.
Candidates with direct compressions experience will be at an advantage.
You should have an understanding of relevant derivatives and hedging products, and ideally will have a good understanding of front to back trade flows and regulation.
Our client is looking for candidates who have graduated with an analytical degree such as Maths or Engineering.
This is an urgent requirement so please apply ASAP if interested.
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