1.Bachelor's degree, or equivalent, in accounting, finance, economics or business required.
2.4-6 years of work experience in trade management, trade support, Collateral & Margin functions for a similar role in financial services, with experience across multiple asset classes (e.g., equities, fixed income, derivatives)
3.Strong Knowledge on Derivatives, Cash, FX and Equities
4.Product knowledge in TRS, IRS & XCCY IRS, Credit, Cash, FX (Options, Forwards and NDFs),
Futures.
5.Strong working knowledge of financial services, investment products, securities processing, and
information technology required.
6.Excellent analytical, problem-solving, interpersonal, and communication skills essential
7.Detail-oriented with robust problem-solving, planning, time management, and decision-making abilities, capable of producing accurate and timely information independently.
8.Skilled in building and maintaining strong working relationships, exercising flexibility, and effectively communicating with internal and external contacts at all levels.
9.Ability to work closely with portfolio managers and traders under pressure in a deadline-driven, team-oriented environment.
10.Capable of managing multiple, complex tasks, prioritizing effectively, and adapting to changing business needs.
11.Proactive, self-starter with the ability to work independently.
Preferable to have someone with hands on exposure to CRD or Charles River IMS
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