FMO Digital Channels (12 month FTC)

Trevose Partners

The Financial Market Operations Digital Channels team manages the client onboarding and support for internal and external vendor digital platforms acr


  
Processes
  • Provide support and coverage for clients in the Western timezone to support digital platform onboarding for Financial Market post trade services
  • Manage internal and external client queries related to digital onboarding and utility of post trade digital platforms
  • Manage and resolve internal and external client queries related to client valuation statement generation
  • Manage the onboarding process for clients onto post trade digital platforms from obtaining client interest to first trade - this including client outreach, legal agreement negotiation, vendor engagement, static data update and any related client training and support
  • Negotiation of Master Confirmation Agreements for Non-Deliverable Forward and Non-Deliverable Option and Equity Derivatives
  • Work closely with Legal team regarding any legal documentation issues during MCA negotiation 
  • Identify potential clients’ opportunities and review opportunities with FMO/Sales/Client Engagement and to propose the appropriate electronic enablement/digitisation solutions for client
  • Responsible for managing client valuations queries and generating and distributing statements statements accurately to Western clients within the specified turnaround time
  • Ensure valuation statements and are sent to the right recipients on a timely basis, accurately and correctly
  • Responding quickly and efficiently to internal and external stakeholders’ queries, solving their problems in a professional, timely and efficient manner
  
Risk Management
  • Ensure due care and diligence is exercised on day to day operational matters
  • Follow up on corrective/ preventive actions to a point where concerns arising from these findings are addressed to a satisfactory level
  • Ensure full compliance of all laid down rules, regulations, policies, guidelines, procedures, practices and code of conduct imposed by the Company/Group
  
Regulatory & Business Conduct 
  • Display exemplary conduct and live by the Group’s Values and Code of Conduct
  • Take personal responsibility for embedding the highest standards of ethics, including regulatory and business conduct. This includes understanding and ensuring compliance with, in letter and spirit, all applicable laws, regulations, guidelines and the Group Code of Conduct
  • Effectively and collaboratively identify, escalate, mitigate and resolve risk, conduct and compliance matters
  
Key Stakeholders
Clients, Sales and Trading, Financial Market Operations
  
Our Ideal Candidate
  • Demonstrable Financial Markets Operational setting experience across the post trade life cycle touchpoints
  • Experience with ISDA template documentation
  • Knowledge of ISDA terminology and definitions and ability to negotiate confirmations independently
  • Experience in stakeholders’ management
  • Control focused and result oriented skills
  • High analytical and problem-solving abilities
  • Strong communication and inter-personal relationship skills
  • Extremely high attention to detail and a desire to learn and grow within the role
  • Ability to meet tight deadlines 
  • Ability to work autonomously, but also be a good team player.
  • Fluent in English (spoken and written) 
  • Excellent PC skills: MS Word, MS Excel, VBA Skills