Posted:2 weeks ago| Platform:
On-site
Full Time
Job Description: Role: AVP Global Operations Experience: 4+ Years Location: Mumbai Overall purpose of role: The role holder needs to make sure they act as an extension of the desk and help the desk with daily reporting, analytics around P&L generation, book management by resolving loss making trades or any other P&L slippages with complete ownership. The role holder would also have to create tactical analytical tools to help the desk make informed decisions on a daily basis and support their daily/monthly processes. Key Accountabilities: Have a good understanding of Fixed Income Financing business flow across region and sub-asset classes/Systems involved/Product details. Involved in Repo trading i.e. short cover via internal lifts and external lenders, auto borrows, excess returns, refinancing trades, funding, etc with good understanding of logic. Client Metrics/Financial Metrics based dashboards/reports for Top Management. Collaborate across trades/product to provide creative solutions via actionable analytics using technology stack / FIF data architecture for strategic solutions. Managing the funding/liquidity for Repo desks via collateral efficiency, bilateral and triparty schedules. Global FIF Balance Sheet Analytics and Reporting Analysis highlighting key metrics. To be pro-active in owning the existing daily MIS/analytical reports and desk processes of the FO Desk Support team around Client short cover, Client Balances, Re-rates, P&L allocation, balance sheet, funding MIS, transfer pricing, data consistency checks and controls, etc. with good understanding of logic behind these reports. To be able to troubleshoot in the existing BAU reports, cater to trader’s requests around providing explains around any variance in existing reports & enhancements to the existing reports as well as build new reports/models for the trading desk. To be able to independently analyse Equity / Fixed Income Financing business reports and processes to highlight inefficiencies and develop potential solutions from scratch in collaboration with regional traders and desks. The role requires sound understanding of trade life cycle of Securities Lending & Repo Financing, bond analysis, call and put options and bond pricing concepts along with good programming skills, understanding of the Financing business, eye for detail and an ability to liaise with the trading desks to ensure the timely and accurate delivery of tasks/projects performed Stakeholder Management and Leadership: This is a position which will require a high level of engagement with a variety of stakeholders across the firm, including Trading, Sales, Risk, Legal, QA, Technology and Operations. Decision-making and Problem Solving The role holder will interact with regional traders to understand the key areas of business, the P&L drivers, the risks involved and work closely to build and maintain solutions/models/reports that can help in making the business more efficient from cost / revenue perspective. Show more Show less
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Mumbai, Maharashtra, India
0.0 - 0.0 Lacs P.A.