Sr. Business Analyst/Repo Trading (Sell-Side) needed to support global repo trading desks, resolve issues, and deliver enhancements for a top financial client.
Responsibilities
Provide day-to-day support for Global Repo trading desks, respond quickly to inquiries from Front/Middle Office, Trade Desk Support, Back Office, Risk, Collateral Management, and Accounting/Settlement, support the delivery of small-to-medium enhancements to existing business processes, contribute to the rollout of new vendor functionality including testing, validation, coordination with vendors, and production go-live support, partner with business stakeholders and technology contacts to drive alignment and outcomes, act as a subject matter expert for integration aspects of Repo systems and coordinate with external teams as needed, support issue resolution with vendors and external counterparties including trading venues, clearing houses, tri-party agents, and relevant regulators, and participate in system upgrades and infrastructure/security patching to ensure validated applications are ready for business use after changes.
Requirements
2–3+ years of experience working with Repo trading systems in a sell-side environment; strong knowledge of end-to-end Repo trading including trade execution and lifecycle events, inventory and collateral management, settlements, and electronic/tri-party trading; experience with outright bond trading and Interest Rate derivatives (strong asset); experience with at least one or more systems: Bondfire, Broadridge FinPro/Impact/SFCM, Bloomberg TOMS, FIS BondOne, Calypso, Anvil, Apex; nice to have experience building productivity tools/applications in Python and Excel/VBA.
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