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Responsibilities include: Define and Implement Management Reporting. Manage the production of End of Day Reporting to provide management with a consolidated view of the Business Line’s positions, risk metrics, sensitivity analysis, limit utilization and P&L snapshot.
Business Strategy and Development: 1.) Manage relationship between Trading Areas and Market Risk Management to ensure the appropriate limit structure is in place. 2.) Work closely with individual trading desks to define Business Strategies. 3.) Ensure Business Growth opportunities are realized by managing the New Product Review process; represent Trading Areas at reviews.
Liquidity Management Effort: 1.) Define and implement funding and liquidity reports consistent with Head Office requirements. 2.) Define and implement Balance Sheet reporting system with a focus on how funding and collateral availability. 3.)Participate in developing a plan to organize an Asset Liability Management program.
Balance relationships across various departments.
Establish management reporting to provide periodic status updates
Participate in internal audit and regulatory review processes.
Candidates must have: At least a BS in Finance, Accounting, Business Administration or related fields and 7+ years in the Financial Industry. Some project management experience is highly desirable.
Strong knowledge of trade process work flow for Fixed Income, Currency and Derivative Products (specifically in bonds, money market instruments, repo, IR and FX derivatives)
Strong knowledge of Middle and Back Office trade support functions and regulatory requirements.
Experience in developing Front Office Management Reporting Experience in documenting business requirements; managing, organizing and prioritizing multiple tasks. Strong oral and written communication skills and ability to facilitate discussions, manage tight deadlines or unexpected requirement changes with the ability to learn/understand technical platforms.
Other pluses: Knowledge of product analytics and valuation / financial models
Understanding of MBS securities, prepayment models, market and credit risk metrics including stress tests and VaR
Must have excellent Microsoft Word, Excel and Powerpoint skills. Must have strong interpersonal and communications skills. Please Email resume in MS word format to: financial2@strategicworkforce.com. Subject of email must be: Business Manager - Trading (E-Financial). No phone calls.
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