Global ETD Clearing Operations Lead

SOCIETE GENERALE

Singapore

On-site

SGD 120,000 - 150,000

Full time

7 days ago
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Job summary

Societe Generale is seeking an experienced professional for the Derivatives Clearing Client Facing Middle Operations team in Singapore. The role supports post-trade activities for ETD and FX, servicing Banks, Hedge Funds, Asset Managers and Corporations.

Based in Singapore, you will manage client money, margin, collateral and cash, lead regulatory reporting, and act as a first escalation point for operational queries while driving continuous improvements across the team.

Qualifications

  • At least 10 years of experience in clearing, treasury, cash management and ETD margin activities.
  • Strong knowledge of relevant client money rules in APAC & EMEA.
  • Must understand ETD market sector and related regulatory requirements.
  • Fluent written and spoken English; additional Asian languages are a plus.

Responsibilities

  • Own and oversee exchange, client margin, collateral and cash management activities.
  • Perform daily client money reconciliations and controls for APAC exchanges; ensure regulatory compliance.
  • Manage trade breaks, position expiries and regional regulatory reporting; lead initiatives across the clearing ops function.
  • Provide escalation point for client, exchange/broker questions and collaborate with business relationship teams.
  • Ensure controls, supervision and improvements across offshore and onshore teams; drive risk reduction.

Skills

Clearing
Treasury
Cash management
ETD margin
Client money rules
Regulatory reporting
Risk control
Attention to detail
English proficiency
Team collaboration
Problem solving

Tools

MS Office

Job description

Societe Generale is seeking an experienced professional for the Derivatives Clearing Client Facing Middle Operations team in Singapore. The role supports post-trade activities for ETD and FX, servicing Banks, Hedge Funds, Asset Managers and Corporations.

Based in Singapore, you will manage client money, margin, collateral and cash, lead regulatory reporting, and act as a first escalation point for operational queries while driving continuous improvements across the team.

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