Execute pre‑trade and post‑trade operational activities for Equity Swaps
Support trade booking, allocations, and lifecycle event processing (resets, dividends, fees)
Assist with daily swap cashflow processing and settlements
Perform reconciliations (trade, position, cash) and investigate breaks
Support treasury funding checks and cash balance monitoring
Maintain static data, client setup, and SSI records
Perform daily control checks, checklists, and SLA sign‑offs
Respond to internal stakeholder queries and escalate issues promptly
Adhere strictly to risk, control, and documentation standards
Requirements
Graduate and above preferably in Finance, Accounting, Economics, Commerce, or related discipline
4 to 7 years of experience in Financial Services industry with minimum of 2 years of experience in Operations or Middle office role
Front-to-back knowledge of Equity Swap Operations processes, markets and instruments
Hands-on experience and working knowledge in Front office exception management, Middle office systems, Settlement / Payment department & understanding Swap lifecycle
Familiarity with systems such as NUVO, TRAIANA, DUCO, etc. will be an added advantage.
Knowledge of Macros, SQL & MS Access Database queries will be an added advantage.