Middle Office Analyst
to join our Risk team with experience in running reconciliations, P&L reporting, and administration of trading platforms. The candidate will need to be proficient at problem-solving and have good communication skills in order to identify discrepancies, establish what needs to be done, and communicate this to various stakeholders. The role also involves other day-to-day tasks including managing trader and account permissions and liaising with the Finance department and traders to ensure correct P&L reporting. Responsibilities:
Daily T-1 position and trade reconciliation. Calculation and reconciliation of Mark-to-Market and P&L. P&L reporting to trading desks, Finance department, and Management. Onboarding of traders and set up of risk limits on multiple derivatives exchanges. Automatization of operational processes. Maintenance and development of PowerBI dashboards. Monitoring of risk management tools and alerts. Requirements:
Working knowledge of Python, SQL, and Excel VBA Macros. Minimum able to: Write and run simple SQL queries. Write a Python module that imports and exports data from Excel. Basic knowledge of P&L, Risk Management (Value-at-Risk), and Futures. Basic knowledge of PowerBI a plus. Bachelor's degree.
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