Description
Responsibilities include but are not limited to:
- Provide specialized operational guidance to team members and ensure effective booking, confirmation, settlement and reconciliation of SWAP/FX and related derivative products, including participation on collateral calls with inter-bank dealers.
- Oversee daily transactions, including FX/Swap reporting, trade feeds to internal and external systems, unmatched trades, handling wire transfers, deposits, control reporting and performing tasks that support the effective running of the business.
- Serve as team escalation point to solve complex issues/exceptions with regards to FX and related derivative transactions, including nostro management, projected client and bank balances.
- Partner with VFM Compliance, internal partners and external vendors on a broad range of projects across VFM and Capital Markets (FX) including regulatory matters (FINRA TRACE, internal/external audits), technology enhancements and upgrades, (both testing and delivery).
- Work closely with Department leaders to find solutions for complex business problems and risk event resolution across the dual business lines.
- Develop process Improvements and organizational procedures for optimized efficiency and productivity.
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