Good Exposure to Product control environment
Strong understanding of financial Products ( Like Bonds, Money Market Instruments, SWAPS and Equity Derivatives)
Good knowledge of MS Office.
-Ensuring that the month end numbers agree to the sum of the daily P&L or provide meaningful explanations
-Ensuring systems reconciliation breaks are explained/cleared, ensuring sign-off of daily and monthly P&Ls by traders
-Monitoring of all pricing and valuation issues, including off-market rate analysis in respect of all positions held by the desk
-Assisting the Middle Office team in ad-hoc queries and new business requirements as necessary
-Ensuring that team provides accurate and timely service for specific unit whilst ensuring all outputs are validated and delivered in accordance with SLAs
-Developing an understanding of Finance Architecture changes and the impact of these on team processes.