Operations Specialist, FX Trade Services (6 Months Contract)
Bank of Singapore
Application
Details
Posted: 14-Aug-24
Location: Singapore, Singapore
Type: Full-time
Internal Number: 20924839
At Bank of Singapore, we are constantly on the lookout for exceptional individuals to join our team. We promote a culture of openness, teamwork and fairness. Most importantly, we invest in our people through our programmes that develop them on both professional and personal levels. Besides attractive remuneration packages, we offer non-financial benefits and opportunities to develop your potential within OCBC Groupâ??s global network of subsidiaries and offices. If you have passion, drive and the will to succeed, rise to the challenge today!
Bank of Singapore opens doors to new opportunities.
Start your career with Bank of Singapore as an Operations Specialist (6 Months Contract) in our FX Trade Services team! !
General Description
The incumbent will be responsible for post execution support for OTC derivative products across FX and its associated derivatives, ensuring timely and accurate capture of trades into Bank of Singapore core banking risk system. This is also a control function role requiring the incumbent to work closely with Front Office, Trading Desks, Settlements and Technology in managing the bank's risk relating to the supported product classes. These combined, the incumbent should be able to contribute significantly in a team setting, apply critical thinking to problem solving and excel under stressful conditions.
Responsibilities
Trade Capture, Cancels and Amends
Ensure accurately capture of trades into core banking platform within regulatory timelines
Monitor and manage STP exceptions to ensure completeness and accuracy of bookings
Perform validation of Dealer-hit trades in upstream systems
Manage queries relating to trade bookings
Perform inter-system reconciliations
Lifecycle Management
Perform independent assessment of lifecycle events and reconcile against counterparties
Book lifecycle results into core banking for settlements and positions to be updated
Notify Front Office and Dealers on lifecycle outcomes
Perform inter-system reconciliations
Regulatory Reporting
Perform daily validation and enrichment of derivatives reporting for for MAS (DTCC) and HKTR
Perform monthly validation and enrichment of MAS610 turnover report
Ad Hoc
Perform UAT where nominated by line manager
Manage any ad hoc assignments delegated by line manager
Qualifications
Requirements
Minimum of 2 years in FX or derivatives products space
Experience working with Front Office (Bankers/Traders)
Knowledge of either Temenos and regulatory reporting platforms preferred