Job description
Overview
For over 235 years, Bank of New York Mellon (BNY Mellon) has been at the center of the global financial markets, providing the world’s leading institutions the tools, capabilities, and services to be distinctive investors. BNY Mellon has approximately $16.5 billion in revenues and a 23% return on tangible common equity.
BNY Mellon is a leader in the world of investment services and investment management, and our businesses support the full range of stakeholders of the financial system including:
Managing the custody of approximately $37 trillion financial assets of the world’s leading institutional investors, hedge funds, sovereign wealth funds, and corporates
Investing approximately $2 trillion as one of the largest global asset managers across a wide range of asset classes
Providing collateral, liquidity, and funding for the world’s largest banks through our markets franchise
Serving family offices and high net worth individuals through our wealth management franchise
Providing a full suite of solutions to advisors, broker-dealers, family offices, hedge and '40 Act fund managers, registered investment advisor firms and wealth managers
Advising large global corporations on a range of trust and other solutions
Providing integrated managed data services to asset managers
What we do: This role will be in the newly created Front Office Services Team. This team supports Aviva Investors.
Build and maintain close working relationship with the Aviva Investors Front Office and act as the day to day point of contact for queries
The team’s main responsibilities include, trade support across all assets classes, daily monitoring and reconciliations, periodic reporting, critical analysis and alignment with the changing business
Specific responsibilities include
Acting as link between front office, BNYM, JPM national and international 3 rd parties. Including the timely and accurate booking of all trades across derivative and liquid products
Ensure all brokers used across full product range are set up with all relevant paperwork in place before trading commences
Support the front office to set up any new markets that have gone through the correct approval process
Work with the reconciliations team to ensure we maintain up to date and accurate cash and holdings in Aladdin
Work with team manager to highlight all key risks and controls across the team’s processes
Continually looking for any possible opportunity to improve on our processes, especially utilizing any form of automation
Ensure all Mifid II transaction reporting and trade reporting requirements are met.
Trade matching
Trade Input
Trade Cycle Management
Has a detailed knowledge of bilateral and cleared collateral/margin management
Has a detailed understanding of the end-to-end lifecycle of bilateral/cleared OTC and Exchange Traded Derivatives (trade capture and confirmation).
Is able to calculate and match OTC post trade settlements/coupons
Has a strong understanding of CFD/Portfolio Swap workflows and structures
Has a detailed understanding of the key economics and underlying strategies of Derivatives including but not limited to: -
Interest and Inflation Rate Swaps
Cross Currency Swaps
Credit Default Swaps
Total Return Swaps
Variance Swaps
Volatility Swaps
Futures
Options
The successful candidate will:
To support the Aviva Investors Front Office in the execution of their core activities in a changing and dynamic environment by ensuring the provision of accurate, timely and comprehensive information.
To assist with the development of the Investment Operations function to provide a wide-ranging service to both internal and external stakeholders.
To provide support to the front office to ensure trades booked are monitored through to successful settlement. This will include robust oversight of JPM IOS
To constantly challenge all current processes and procedures to identify any potential for process improvement.
To work closely with the front office to ensure all required brokers and markets are set up through the correct process.
Experience & Qualifications:
Qualifications
Ideally degree qualified – although not essential.
Relevant professional qualifications.
IMC an advantage
Experience & Skills / Knowledge
Sound knowledge of Derivative and Liquid products traded by Aviva Investors
A team player
Numerate and able to interpret financial data quickly and effectively
Effective time management and ability to work to strict deadlines
Communication – excellent inter personal skills and documentation maintenance
Ability to problem solve and work with minimal supervision
Awareness of relevant regulations, EMIR, Mifid II, CASS
Previous experience of investment management middle or back office processes
Employer Description:
For over 230 years, the people of BNY Mellon have been at the forefront of finance, expanding the financial markets while supporting investors throughout the investment lifecycle. BNY Mellon can act as a single point of contact for clients looking to create, trade, hold, manage, service, distribute or restructure investments and safeguards nearly one-fifth of the world's financial assets. BNY Mellon remains one of the safest, most trusted and admired companies. Every day our employees make their mark by helping clients better manage and service their financial assets around the world. Whether providing financial services for institutions, corporations or individual investors, clients count on the people of BNY Mellon across time zones and in 35 countries and more than 100 markets. It's the collective ambition, innovative thinking and exceptionally focused client service paired with a commitment to doing what is right that continues to set us apart. Make your mark: bnymellon.com/careers.