Trade Support Specialist
Brevan Howard Asset Management
MAIN DUTIES/RESPONSIBILITIES OF THE ROLE:
The focus of the Trader Assistant within the Operations team is on ensuring the complete, accurate and timely capture of trades and lifecycle events. The core services, processes and controls are provided to clients to ensure accurate risk and P&L capture. The Trade Support team forms part of the Operations Function supporting trading activities across a diverse client base and product range.
The core services provided by the Trader Assistants are as follows:
Trade Capture
Monitoring electronic trade flows
Ensuring accurate trade capture of voice executed transactions
Compliance with regulations and internal policies with respect to trade execution and capture
Publishing P&L and working with clients to resolve queries
Life Cycle Event Management
Facilitation of option expiry processes and other contractual obligations
Corporate event and credit event processing
Compression and novation processing
Static Data Management
All elements of instrument data set up and maintenance
Onboarding of clients, traders and funds
Support for static to aid the STP of trade capture
Reconciliation of Client Positions
Ensure positions and trade details recorded in internal systems match external parties (clearers, custodians, prime brokers, counterparties)
Facilitate the timely resolution of position and trade breaks
Process Improvement and Projects
New business initiatives: Including set up of new traders and products
Process Improvements including technology enhancements
Enhancing knowledge through training and maintenance of team procedures and policies
Completing event reviews and implementation of risk mitigation improvements
The role entails working closely with execution traders and portfolio managers across a number of clients. An ability to prioritise based on risk profile is critical, as is a clear and concise communication approach with clients.
The role also requires close working relationships with a number of internal partners including the COO team, Fund Control, Investor Relations, Fund Risk and Quants. Occasionally coverage across the wider operations function may be required
WORK EXPERIENCE/BACKGROUND
Essential
Undergraduate degree in a numerate discipline
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A sound understanding of financial markets and different financial products, specifically ETD and OTC Derivative instruments.
Execution, mechanics and analytics
Front to back processes
Market infrastructure
An excellent knowledge of operational risk and risk mitigation utilising technology, process and controls.
Minimum 3 years’ trade assistant\operations experience.
Desirable
Advanced excel and knowledge of VBA, SQL or other programming languages.
Good problem solving capabilities, evidence of process improvement.
Cross asset class experience: FI, FX, Credit, Rates, Equities
TECHNICAL SKILLS & KNOWLEDGE
Self-motivated and proactive
Ability to perform well under pressure
Risk based prioritization
Enthusiastic, flexible and adaptable
Ability to work independently as well as part of a team
Desirable
Advanced excel and knowledge of VBA, SQL or other programming languages.
OTHER REQUIREMENTS
Strong work ethic and attention to detail
Good communication skills
Enthusiastic and flexible
Excellent written and spoken business English
High personal initiative and personal responsibility
Ability to work effectively in a team/Front office environment
Ability to manage work priorities and delegate appropriately
Highly proactive and
Hardworking and able to work independently
Friendly, polite and personable – enjoys working with others