Deutsche Bank | Jobs | MI Analyst | BigDataKB.com | 02-04-22

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    Job Location: Pune

    The role is to perform a number of key functions that support and control the business in complying with a number regulatory requirements such as Markets in Financial Directive MiFID II . This role forms part of a team in Bangalore that supports Regulatory reporting across all asset classes: Rates, Credit, Commodities, Equities and Foreign Exchange. Key responsibilities include day to day exception management MIS Compilation and User Acceptance Testing (UAT).

    Your key responsibilities

    • Performing and/or managing various exception management functions across reporting for all asset classes, across multiple jurisdictions
    • Ensure accurate, timely and completeness of reporting
    • Working closely with our technology development teams to design system solutions, the aim to automate as much of the exceptions process as possible
    • Liaising with internal and external teams to propose developments to the current architecture in order to ensure greater compliance with Regulatory requirements and drive improved STP processing of our reporting across all asset classes
    • Perform root cause analysis or exceptions with investigation appropriate escalation of any significant issues found through testing, rejection remediation or any other stream to senior management to ensure transparency exists in our controls
    • Ability to build and maintain effective operational process and prioritise activities based on risk.
    • Clear communication and escalation. Ability to recognize high risk situations and deal with them in a prompt manner.

    Your skills and experience

    • Strong client focus
    • Regulatory experience is preferred
    • Ability to work independently, as well as in a team environment
    • Clear and concise communication and escalation. Ability to recognise high risk situations and deal with them in a prompt manner.
    • Preferable experience in Middle Office/Back Office, Reference Data and excellent in Trade Life Cycle (At least 2 asset Classes – Equities, Credits, Rates, Foreign Exchange, Commodities)
    • Ability to identify and prioritize multiple tasks that have potential operational risk and p/l impact in an often high-pressure environment

    Apply Here

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