Securities & Derivatives Operations Analyst — Hybrid

CITIBANK N.A.

Singapore

Hybrid

SGD 90,000 - 120,000

Full time

11 days ago
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Job summary

CITIBANK N.A. in Singapore seeks an Officer, Securities & Derivatives Intermediate Analyst C11 to support collateral management, reconciliations, and treasury processes within Markets Operations.

The role focuses on controls, timely processing, and interaction with front-to-back teams to ensure seamless trade lifecycle execution. We welcome candidates with at least 3 years in a financial institution and a Bachelor’s degree in Business, Accounting, or Finance.

Qualifications

  • Minimum of 3 years relevant experience in Financial Organization (e.g., Investment Banking / Investment Management / Hedge Fund / Exchange)
  • Bachelor’s Degree/University degree or equivalent experience in Business, Accounting, or Finance
  • Experience in Futures and Derivatives Clearing preferred

Responsibilities

  • Daily monitoring and processing of exchange and central clearing house margin calls
  • Creation and input into associated metrics to enable productivity measurement
  • Liaison with Finance teams regarding applicability and validity of monthly adjustments
  • Execution of collateral asset movements and related monitoring
  • Ensure adherence to regulatory requirements and internal controls
  • Ability to communicate complex processes and workflows
  • Escalate clearly and promptly
  • Investigation and resolution of breaks with Exchanges, Brokers, and Affiliates
  • Improve daily processing to increase efficiency and drive automation
  • Ensure SOPs are up to date and aligned with Citi policies and standards
  • Participate in global and regional change initiatives and partner with stakeholders across Asia and globally

Skills

Communication skills
Problem-solving
Attention to detail
Team collaboration

Education

Bachelor's degree in Business/Accounting/Finance

Job description

CITIBANK N.A. in Singapore seeks an Officer, Securities & Derivatives Intermediate Analyst C11 to support collateral management, reconciliations, and treasury processes within Markets Operations.

The role focuses on controls, timely processing, and interaction with front-to-back teams to ensure seamless trade lifecycle execution. We welcome candidates with at least 3 years in a financial institution and a Bachelor’s degree in Business, Accounting, or Finance.

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