Provide support for international equity and fixed income instruments; address issues, supervising and facilitating trade allocations, trade configurations and input, troubleshooting P&S and settlement problems by researching, taking corrective actions and solving root cause. Key Responsibilities
- Collaborate firm wide including Technology, Product Control, Business Management, Market Risk, and Settlements to implement process, system and product changes.
- Communicate with traders and counterparties to ensure accuracy in trade capture.
- Provide support or resolve any discrepancies pertaining to the booking, P&L or risk representation for traders in the books.
- Assist Finance and other groups to resolve various issues affecting PnL.
- Accurately capture trades.
- Research and resolve issues causing breaks or failures for the supported business.
- Oversee controls implemented to mitigate risk to the business. Compensation: Package offerings are based on candidate experience and technical qualifications, as it relates to the role. Locations: Chicago, New York, New Jersey, Los Angeles & Dallas/Fort Worth. #J-18808-Ljbffr