FINANCIAL SERVICES RECRUITMENT

LONDON | NEW YORK

JOB SUMMARY

Technical EMIR Reporting Consultant, Hedge Fund

We are seeking an individual that will sit within the Control function for Operations and Middle Office. As part of the EMIR reporting efforts within the Fund, the team is creating a delegated model that reports trades on their behalf, verify and cross checks this info with the company's counterparts as well as build a rec between that and the regulator

JOB TEXT

We are seeking an individual that will sit within the Control function for Operations and Middle Office. As part of the EMIR reporting efforts within the Fund, the team is creating a delegated model that reports trades on their behalf, verify and cross checks this info with the company's counterparts as well as build a rec between that and the regulator

1. Job Function Summary

Develop tactical reconciliations that can be performed each day - document requirements for a streamlined piece with Technology, Stakeholders in Europe (fields etc) and put tactical solutions in place and document the framework for technology.

The successful candidate will be a self-starter with a strong technical background in developing business intelligence solutions, data mining (SQL, Excel VB and advanced macros); business requirements documentation, process documentation/re-engineering and system implementations/integration

The type of ideal background will be someone from a large consulting practice (PWC/EY) so they have the client facing toolkit (how to create a documentational requirements) and get dirty in the detail. This will be underpinned with a working understanding of EMIR, understand products (FX forward equity swap AND forward swaps)


2. Principal Responsibilities

* Automation of manual reporting processes through the development of VBA/SQL solutions and Tableau Dashboards.
* Governance of key risk & performance indicators to support Operations Management.
* Daily, weekly, and monthly reporting on metrics spanning the operational trade lifecycle including trade volumes, trade edits, matching, settlement, and positions/balances.
* Documentation of requirements for a strategic business intelligence solution.
* Creation of comprehensive scorecards aligning key performance indicators by asset class, Prime Broker, Portfolio Manager, Legal Entity, and Trading Strategy.
* Monitoring Offshore Vendors by defining and reporting on Service Level Agreements
* Leveraging key work drivers analytics to support the process of cost allocation from Operations to business units.
* Firm-wide consolidation of key regulatory reports for domestic and international regulators.


3. Qualifications/Skills Required

* 4-7 years of experience in financial services
* Bachelors' degree required
* Strong knowledge of SQL, MS Excel, Tableau , and MS Access.
* Experience in implementing business intelligence tools such as Qlikview, Tableau, Cognos, or Business Objects.
* Experience in Operations at either a broker/dealer or asset management firm.
* Strong knowledge of financial instruments; securities and derivatives
* Ability to implement and maintain new systems, procedures, and controls
* Strong communication and interpersonal skills, with experience supporting senior management.
* Must be able to work under pressure and meet strict deadlines
* Must be able to work independently

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  • Negotiable
  • Manhattan, NY, États-Unis
  • Intérim, Plein-temps
  • Charles Levick
  • 2018-05-18
Manhattan, NY, États-Unis Manhattan NY US