Description
Job Description:- Allocate all tba's during allocation cycle
- Handle all give-ups, trade assignments and pair-offs
- Process all pool changes
- Monitor MBSCC terminal
- Handle tba and pool netting processes
- Confirm all Mortgage Desk's trades with counterparties and brokers; TBA's, Pools, CMO's and US Treasuries
- Support growing MBS sales desk consisting of heavy interaction with customer accounts and facilitating the allocation of money manager sub-accounts for client type trading
- Primary liaison between trading desks, sales desks, P/L, mbs allocations dept, settlements & broker/dealer community
- Monitor/maintain new client counterparty set-up
- Reconcile end of day trading activity and positions within various in-house systems
- Assist back-office settlements group in researching DK's on all MBS/CMO trades
Requirements:
To find out more about Huxley Associates please visit www.huxley.com