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Trading Services Manager – Vice President

J.P. Morgan

Bournemouth

On-site

GBP 60,000 - 100,000

Full time

Yesterday
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Job summary

Join a forward-thinking financial institution as a Trading Services Manager – Vice President, where you'll play a pivotal role in centralizing trades and executing compression cycles. This position offers a unique opportunity to collaborate with various business partners and trading desks, contributing to strategic initiatives that enhance processes and controls. If you are driven, analytical, and thrive in a fast-paced environment, this role will allow you to leverage your expertise in interest rate swaps and derivatives while making a significant impact on the organization.

Qualifications

  • Strong product knowledge on interest rate swaps and derivatives.
  • Proven experience in profit and loss, risk, and compression.

Responsibilities

  • Centralize trade populations and execute compression cycles.
  • Ensure accuracy and compliance of trading activities.

Skills

Interest Rate Swaps
Cross Currency Swaps
Excel
VBA
Access
Analytical Skills
Communication Skills
Teamwork

Job description

Explore our new role and centralize trades, execute compressions, and drive strategic initiatives globally!

As a Trading Services Manager – Vice President in Global Rates and FX Post Middle Office Team, you will have the opportunity to interact significantly with various business partners and trading desks. You will play a crucial role in centralizing trade populations and executing compression cycles, acting as the first point of contact for the trading desk. This role provides an exciting opportunity to contribute to various strategic initiatives and improve our processes and controls.

Job responsibilities:

  • Works closely with the trading desks centralizing trade populations and executing compressions cycles across the risk management systems within the Global Rates
  • Captures and reconciles accurately all transactions in the risk management systems and ensuring downstream teams/reconciliations are taken into consideration, when performing compression
  • Acts as the first point of contact for the trading desk; work closely with the other business partners enforcing and improving the compression program
  • Produces, reconciles and explain the desks trading profit and loss, risk and positions relating to any compression cycle
  • Performs key controls to ensure accuracy and regulatory compliance of the business and trading compression activities
  • Participates and contributes to the various compression strategic initiatives
  • Improves and evolves our processes and controls

Required qualifications, capabilities and skills

  • Strong product knowledge on interest rate swaps, cross currency swaps and other rates derivative products
  • Strong technical skills, such as Excel, VBA, Access
  • Ability to communicate across location.
  • Experience in profit and loss, risk and compression.
  • Display strong drive and enthusiasm, highly numerate and have strong analytical skill, highly self driven and proactive
  • Strong communication skills and attention to detail
  • Great team player to work in the pressurized environment, able to meet tight deadlines on regular basis
  • Adaptable to changing environment, ability to multi task and prioritize according to changing needs of the business
  • Ability to quickly absorb new information and incorporate changes in to existing processes

Preferred qualifications, capabilities and skills

  • Trade support experience is a plus
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