Responsibilities:
Responsible for pre and post settlement of OTC derivatives trades Ensuring
all post settlement breaks are cleared within a reasonable time.
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Able to understand the various manual payments which are done from SWIFT
( 103, 202 ,202COV)
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Good knowledge on manual payment SWIFT creation.
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Able to understand the various breaks occurring in Nostro ( Statement
v/s ledger recon )
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Able to understand the lifecycle of FIC products.
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Should have knowledge on FIC products. Ex. FX, MM, IRD, CDS, Options
etc.
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Any ad-hoc duties that may be assigned by management Ability to handle,
escalate & resolve queries in a timely manner
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Builds a strong depository of the Operations and Domain knowledge in the
team
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To actively be involved in creating/ capturing process updates/
workflows pertaining to business & process
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To perform route cause analysis of errors and suggest/ implement
controls in consultation with the Supervisor/ Manager
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To provide training sessions to new joiners and existing partners in the
team
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To actively work on identifying and implementing process improvements in
consultation with the Supervisor
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To initiate and lead team building activities within the team
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To actively participate in Audits/ BCP exercises and to help the
supervisor to ensure awareness in the team
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To manage the sensitive clients and escalate to managers/FO in order to
meet Fed Target
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Perform affirmation of deal details with counterparties via phone
(ensure that contact person name, direct number, date and time of
affirmation are clearly indicated on the ticket).
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Ensure that all payment messages are generated successfully.
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Ensure that all relevant payment messages are authorized and released
before the currency cut-off time.
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Creation and release of any new, amendment or cancellation payments,
whenever necessary.
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Coordinate closely with MO TSU for any payments related issues e.g.
rollover deals, unusual payment instructions etc.
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Cross train and support other members in the team.
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Provide backup to other members of the team during holiday.
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Participate in projects or UATs, whenever required.
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Ensure quality of supporting data for permanent supervision of accounts
including monthly reconciliation of all treasury sub systems (including
spreadsheets) to general ledger
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Ensure that policies, procedures, best practices, mission and objectives
set by management are adhered to on daily discharge of duties.
Profile
KEY SKILL AREAS & KNOWLEDGE REQUIRED:
· Minimum 3 – 6 years of processor/senior processor experience
in a high volume, exceptions/manual and time bounded processing.
· A sound knowledge of FX, MM and derivative products like
Equity, Rates, Credits, Options.
· Sound knowledge on payment processes and currency/country
specificities
· Competency in using the various applications in end to end
processing of settlements.
· Strong understanding of the trade lifecycle and various
stakeholders & cross impact at each stage.
· Familiar with a variety of common desktop applications such
as: Microsoft Excel, Word, outlook and Internet browsers.
· Good problem solving skills.
· Keen and quick to learn, inquisitive nature, meticulous, motivated
individual