Execute daily tasks related to trade processing of derivative products, FX and MM, trade maintenance, settlement, reconciliation, electronic and paper confirmations as well as issues resolution.
Act as a central point of contact for the business when resolving incidents.
Identify and elevate any operational and IT incidents.
Participate on the team training programme to increase knowledge and be able to perform more tasks.
Escalate any recurrent manual workarounds.
Maintain a collaborative and communicative environment within the team, complying with the bank standards.
Active participation on projects defining the main requirements, the testing exercises, and recordkeeping the evidences that prove the development and configurations of the systems are correct.
Banking Operations – transactions involving ...
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