Description
EM Sales Transaction Support (Markets and Securities Services)
3 months +
£200 per day
London
Working as part of the EM Investor Sales team, supporting the team with pre- and post-transaction support. The function is co-located with the Sales team on the trading floor.
Key Responsibilities:
- Booking, especially but not exclusive to Rates trades, covering;
- Non-Vanilla Rates trades (including packages and bespoke booking practices for certain clients)
- Over-flow booking when desk encounters high volume of trades
- Identify enhancements in trade capture systems to improving the sales experience
- Allocation for specific clients that demand upfront trade allocation (not post-execution allocation supported by Middle Office)
- FX Connect allocations
- Credit facility checking, looking up/requesting IM (SCEF) factors, IM exception report monitoring
- Client on-boarding (both voice and electronic venues)
Knowledge/Experience:
- Detailed knowledge of FX and Local Market (Bonds & Rates) products
- Comprehensive understanding of pre- and post-transaction life cycle
- Experience with end-to-end ownership of post-execution transaction related issues