Structured Credit Middle Office (Associate)

Nomura

Greater London

On-site

GBP 70,000 - 100,000

Full time

13 days ago
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Job summary

Jobtailor in London seeks an experienced professional to oversee exotic credit trade management, governance and front-office risk controls. You will produce P&L flash reports, manage trade lifecycles, and articulate risk through governance frameworks, while engaging with senior traders and stakeholders.

The role emphasizes strong communication, numerical thinking, and proactive issue resolution, with ownership of controls throughout the trade process and deep knowledge of exotic credit products.

Qualifications

  • Strong communication skills.
  • Ability to multitask.
  • Strong numerical and problem solving skills.
  • Control mindset and good understanding of operational risks.
  • Ability to manage own time and responsibilities.
  • Proactive in investigating and resolving issues.
  • Knowledge of controls required throughout trade lifecycle.
  • Good exotic derivative product knowledge, preferably Credit.

Responsibilities

  • Provides trade management and first-line support for Exotic Credit trading and structuring desks
  • Manages relationships with senior traders and other stakeholders
  • Develops controls and governance frameworks
  • Performs review of Front Office trade booking
  • Manages trade lifecycle incorporating call events & triggers
  • Produces T0 P&L Flash, including risk based P&L attribution

Skills

Communication
Multitasking
Numerical skills
Problem solving
Ops risk
Time management
Issue resolution
Trade controls
Exotic credit knowledge
P&L reporting

Tools

P&L reporting

Job description

Responsibilities
  • Provides trade management and first-line support for Exotic Credit trading and structuring desks
  • Manages relationships with senior traders and other stakeholders
  • Develops controls and governance frameworks
  • Performs review of Front Office trade booking
  • Manages trade lifecycle incorporating call events & triggers
  • Produces T0 P&L Flash, including risk based P&L attribution
Requirements
  • Strong communication skills
  • Ability to multitask
  • Strong numerical and problem solving skills
  • Control mind-set and good understanding of operational risks
  • Ability to manage own time and responsibilities
  • Proactive in investigating and resolving issues
  • Knowledge of controls required throughout trade lifecycle
  • Good exotic derivative product knowledge, preferably Credit
Core Competencies

Demonstrates expertise in trade management and governance frameworks, with a strong focus on operational risk controls and exotic derivative products, particularly in Credit. Proficient in producing P&L reports and managing trade lifecycles effectively.

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