- Experience with reconciliation of capital markets instruments data related particularly to Repo contracts and also other fixed income and money market instruments.
- Understanding and experience of how position data should be reconciled to the GL, using data feeds from Finance Core and trading systems.
- Participate in delivery of small-to-medium size enhancements to the existing processes as required by business priorities.
- Act as an expert for all integration aspects of Repo systems, work with external teams when required to resolve an issue (e.g. market data providers, settlements systems, Collateral management, etc.).
- Participate in activities related to system upgrades, infrastructure/security patching; ensure applications are validated and ready for business following system changes.
- At least 2-3 years of experience working with Repo trading systems in a typical sell-side organization.
- Experience building productivity tools/applications in Python and Excel/VBA.
- Strong knowledge of all aspects of Repo trading: trade execution and lifecycle events, inventory and collateral management, settlements, electronic and tri-party trading, other
- End-to-end BSA role understanding & experience.
- SQL.
- Capital Market instruments.