Middle Office Senior Analyst

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profile Job Location:

London - UK

profile Monthly Salary: Not Disclosed
Posted on: 2 hours ago
Vacancies: 1 Vacancy

Department:

Operations

Job Summary

Role Purpose:

The Senior Analyst Middle Office plays a critical role in ensuring the accurate and timely processing control and oversight of post-trade activities across multiple asset classes. The role holder is responsible for the daily execution and control of transaction reporting obligations bond and derivative settlements and collateral management activities ensuring full compliance with internal policies regulatory requirements and market best practice.

The role requires strong technical knowledge of trade lifecycles settlement processes and regulatory reporting frameworks alongside the ability to identify investigate and resolve exceptions efficiently. The Senior Analyst will work closely with Front Office Operations Finance Risk and external counterparties to ensure trades are processed accurately risks are mitigated and operational integrity is maintained.

As a senior member of the Middle Office function the role holder is expected to act as a subject matter expert providing guidance to colleagues contributing to continuous improvement initiatives and supporting a strong control environment across all assigned processes.

Role Responsibilities:

Transaction Reporting & Regulatory Controls

  • Perform daily processing validation and submission of transaction reporting in line with applicable regulatory requirements (e.g. EMIR MiFID SFTR where applicable).
  • Ensure completeness accuracy and timeliness of reported data investigating and resolving reporting breaks rejections and reconciliations.
  • Maintain strong controls and evidence to support regulatory compliance and audit requirements.
  • Support ongoing enhancements to transaction reporting processes controls and documentation.

Bond Repo & Derivative Settlements

  • Manage the end-to-end settlement process for bond repo and derivative transactions ensuring timely and accurate settlement in accordance with market conventions and contractual terms.
  • Monitor settlement status investigate and resolve fails and escalate issues where required to minimise financial and operational risk.
  • Liaise with counterparties custodians and internal stakeholders to resolve settlement issues efficiently.
  • Ensure settlement instructions and static data are maintained accurately and in line with agreed controls.

Collateral Management

  • Perform daily collateral management activities including margin calculations margin calls confirmations and dispute resolution.
  • Monitor collateral movements and exposures to ensure compliance with contractual and regulatory requirements.
  • Reconcile collateral balances and investigate discrepancies in a timely manner.
  • Maintain accurate records and reporting relating to collateral positions and movements.

Controls Risk & Governance

  • Operate within a strong control framework proactively identifying operational risks and control weaknesses.
  • Support internal and external audits regulatory reviews and ad-hoc information requests.
  • Ensure procedures controls and process documentation are kept up to date and adhered to.

Stakeholder Engagement & Continuous Improvement

  • Act as a key point of contact for Front Office Risk Operations Finance and external parties on Middle Office processes.
  • Provide guidance and support to junior team members acting as a point of escalation where required.
  • Identify opportunities for process improvement automation and efficiency gains contributing to the ongoing development of the Middle Office function.

Qualifications :

  • Education to A level standard or similar demonstrable experience.
  • 3 years experience in a Middle Office Transaction Reporting or similar role within Banking Operations
  • Strong working knowledge of trade lifecycles settlement and confirmation processes operational risks and controls
  • Prior exposure to Transaction Reporting Bond/Fixed Income settlements and/or Repos would be a distinct advantage
  • Familiarity with Interest Rate and FX Derivatives and Collateral Management desired but not essential
  • Demonstrated experience in   taking ownership improving processes and adopting a proactive approach to your work and professional growth/development

Additional Information :

 

  • Hybrid working (3 days on-site)
  • Contributory personal pension plan: - Minimum: Employee 2% and Employer 7%. Employer matches contributions in 1% increments to a maximum of: Employee 5% and Employer 10%
  • Life Assurance 4 times annual salary
  • Group Income Protection
  • Private Medical Insurance this may include cover for partner and or children at company cost. Cover includes Optical Dental and Audiology
  • Discretionary Bonus
  • Competitive Annual Leave
  • 2 Volunteering Days
  • Benefit Hub

Remote Work :

No


Employment Type :

Contract

Role Purpose:The Senior Analyst Middle Office plays a critical role in ensuring the accurate and timely processing control and oversight of post-trade activities across multiple asset classes. The role holder is responsible for the daily execution and control of transaction reporting obligations bon...
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About Company

Crown Agents Bank is a vastly growing and regulated UK bank that connects emerging and frontier markets to the rest of the world, using FX and payments technology. We are transforming the way payments and FX move through emerging markets, reducing friction so that more money gets to t ... View more

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