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Futures Clearing Specialist

Taylor James Resourcing

City Of London

On-site

GBP 50,000 - 65,000

Full time

30+ days ago

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Job summary

A financial services recruitment agency is seeking a Futures Clearings Operations Specialist in London. This role requires trade capture experience and the ability to thrive in a high-pressure environment. You will assist brokers with trade execution and error correction while ensuring adherence to exchange rules. Salary is in the range of £50,000 to £65,000 per annum, with the role being permanent and based in the office.

Qualifications

  • Experience in dealing with trade capture.
  • Exposure to working in a high pressured operational environment.

Responsibilities

  • Assist a team of FFA brokers to ensure timely capture of executed deals.
  • Carry out error correction reporting and improve processes.
  • Trade error correction and reporting.

Skills

Trade capture experience
Ability to work in high pressure
Job description
Overview

Client Onboarding KYC Associate. 5 days in office,

Senior HR Manager with Financial Services experience

HR Business Partner. to £65,000 This well established

Our client is looking for a Talent Development Specialist

We are looking for a Deputy Group Company Secretary

Role Details

Date: 8 Apr 2024

Sector: FINANCIAL MARKETS

Type: Permanent

Location: London

Salary: £50,000 - 65,000 per annum

Email: duncan@taylorjamesresourcing.com

Ref: db080424

Responsibilities

Futures Clearings Operations Specialist

  • You will assist a team of FFA brokers within to ensure the timely capture of executed deals, carry out error correction reporting and improve processes.
  • You will have experience in dealing with trade capture and exposure to working in a high pressured, fast-paced operational environment.
What you’ll be doing
  • Coverage of a range of financial derivative products.
  • Trade capture on the internal trade booking system.
  • Submission of trades to various exchanges including ICE, CME, EEX and SGX.
  • Ensure adherence to relevant exchange rules and policies.
  • Trade error correction and reporting.
  • Regular production of analytical reports.
  • Update process procedures.
  • Perform end of day reconciliations.
  • Monthly invoicing to clients.
  • Liaise with clients and assist with queries.
  • Assist brokers with queries.
  • Additional / ad hoc duties as required to meet the needs of the business.
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