Senior Clearing Ops Specialist – Bond & Repo

ASX Limited

Sydney

Hybrid

AUD 100,000 - 140,000

Full time

5 days ago
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Benefits offered by this job

Hybrid work options
Background checks

Job summary

ASX Limited is seeking an experienced Clearing Operations professional to support Bond and Repo clearing services. You will work with Calypso, Genium and Austraclear to ensure accurate, timely settlement and risk management across fixed income products.

The role emphasizes process improvement, stakeholder engagement and support for a diverse set of clearing participants, regulators and treasury counterparties, with hybrid working options available.

Qualifications

  • Minimum 5 years in clearing, settlement, treasury ops or related financial markets role.
  • Experience with Fixed Income settlement, SWIFT messaging and reporting.
  • Understanding of Bond and Repo life cycle events and post‑trade processes.
  • Experience with SWIFT and Austraclear settlement processes.
  • Strong knowledge of margining and cash settlement across cleared products.
  • Experience with exchange-traded and cleared OTC derivatives.

Responsibilities

  • Contribute to launch and ongoing operation of Bond and Repo Clearing services.
  • Operate and train junior staff on clearing and settlement systems (Calypso/Genium/etc).
  • Represent Clearing Operations at internal stakeholder meetings.
  • Ensure daily tasks follow procedures and checklists; escalate incidents.
  • Identify and implement process improvements to reduce risk and improve experience.
  • Engage with stakeholders including participants, vendors and regulators.

Skills

Bond clearing
Repo clearing
Fixed income
SWIFT integration
Austraclear
Margining
Cash settlement
Derivatives knowledge
Process improvement
Project work

Education

Bachelor degree in finance or related field

Tools

Calypso
Genium
DCS/MCM

Job description

ASX Limited is seeking an experienced Clearing Operations professional to support Bond and Repo clearing services. You will work with Calypso, Genium and Austraclear to ensure accurate, timely settlement and risk management across fixed income products.

The role emphasizes process improvement, stakeholder engagement and support for a diverse set of clearing participants, regulators and treasury counterparties, with hybrid working options available.

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