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Job Location | Pune |
Education | Not Mentioned |
Salary | Not Disclosed |
Industry | Banking / Financial Services |
Functional Area | Sales / BD |
EmploymentType | Full-time |
Analyst - Equity Liquid MarketsLondonAs a Barclays Analyst Equity Liquid Markets, you will have oversight on front-to-back exception queues and working with the relevant teams to implement solutions on reoccurring themes. You will look at trade flow processing of multiple business streams into our back office systems, ensuring direct and efficient communication and escalation is performed with all stakeholders around associated risk items. You will also keep oversight of our colleagues in India around controls and processes that have been offshored.Barclays is one of the worlds largest and most respected financial institutions, with 329 years of success, quality and innovation behind us. We offer careers that provide endless opportunity helping millions of individuals and businesses thrive, and creating financial and digital solutions that the world now takes for granted.What will you be doing You will provide support and escalation management to the Cash Equity and Equity Derivative businesses in EMEA including Root cause analysis to remediate issues at sourceRaising SSI to clear SDI exception items using the BQuery / Salesforce tool, including liaising with internal & external stakeholders for the resolution of settlement issuesWorking with internal and external stakeholders for the On-boarding of new clients to enable the Sales Desk to execute both OTC and Listed Derivative transactionsWorking with both internal and external stakeholders for the set-up of MCA s to enable OTC Derivative business to be affirmed via MarkitwireYou will be liaising with internal and external stakeholders to ensure paper confirmations are sent timely, creating and updating client valuation statements and manage reportingWorking with Collateral teams for the addition of collateral and resolution of margin disputes, including monitor and resolve Martikwire exceptions through collaborationYou will monitor and resolve exceptions through collaboration with internal & external Stakeholders and assist in the setup of equity linked notesYou will ensure adherence to the daily BCheck policy for signing off completed tasks, including all procedure documents are maintained and updatedWhat we re looking for: Solid OTC Derivative product knowledge including an understanding of listed and OTC Options, Swaps and futuresAn understanding of both CTM and Markitwire systems including an eye for detail with solid communication skills, both written and verbalA general understanding of the settlement process for Equities & DerivativesExcellent organisational and time-management skills with the ability to multi-task and the ability to work under pressure to observe deadlinesSkills that will help you in the role: Previous experience in a similar banking environmentGood working knowledge of MS Office suite, specifically Excel and front-to-back process in an investment banking environmentUnderstanding of operational risks, ability to spot and articulate issues to senior stakeholders, and escalate in a timely mannerAbility to analyse data and identify risk item exceptions including good people influencing skills and an ability to get things done in the right way for the businessWhere will you be working 5 North Colonnade is home to our investment bank and is in the heart of Canary Wharf, just a short walk from our headquarters at Churchill Place. It boasts an array of onsite amenities such as dry cleaner as well as a deli and buffet style staff restaurant. The building is easily accessible by tube, docklands light railway and all major bus links. The atmosphere is second to none with a real buzz being created around the offices within.,
Keyskills :
emeafinancial institutionsinvestment bankingotcroot cause analysisescalation managementcashms office suitems officesdiproduct knowledgetime managementbusriskctmcommunication skillsback officeroot causessi