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Jobs in Singapore   »   Jobs in Singapore   »   Finance / Banking / Insurance Job   »   Analyst, Investment Operations Specialist, Global Financial Markets Operations (GFMO), Technology & Operations (WD67402)
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Analyst, Investment Operations Specialist, Global Financial Markets Operations (GFMO), Technology & Operations (WD67402)

Dbs Bank Ltd.

Dbs Bank Ltd. company logo

Business Function

Group Technology and Operations (T&O) enables and empowers the bank with an efficient, nimble and resilient infrastructure through a strategic focus on productivity, quality & control, technology, people capability and innovation. In Group T&O, we manage the majority of the Bank's operational processes and inspire to delight our business partners through our multiple banking delivery channels.​

Job Purpose

We are looking for candidate who are highly motivated and a team player to support to GFM on Fixed income, FX & OTC derivatives products etc. and be part of the DDOM journey towards achievement GFMO Control Tower Vision

Key Accountabilities

  • Provide end to end OTC transaction life cycle reporting support for T&M derivatives products
  • Ensure confirmation accuracy and timely issuance
  • Risk Control, reduction in ageing confirmation and eliminate/refine legacy processes
  • Build a data driven culture with data analytic capabilities
  • Support new products initiatives on existing/new system capabilities

Responsibilities

Coverage

Core: Trade Confirmation issuance, Trade Confirmation Affirmation, Trade Events Notification
Secondary: Trade Repository Reporting, Central Password Issuance, Advisory on ISDA Negotiation related to Operations, Board Resolution Documentation, MIS reporting
Service Support Centres: Hub (Sin) Spokes (Branches: HK, SE, TW, LON, Labuan), (Subsi: HK, TW, CN, Macau, IN, Sin Holdco)
Clients Base: Inter-bank, Fictive ( FI, Insurance etc), Corporate Treasury Product Assets
Classes: Vanilla FX spot, Money Market, Structured Loan/Deposits (CLI, PCI), Fixed Income, OTC Derivatives for FX, Rates, Equity and Commodity.

Trade Confirmations issuance

  • Trade economic affirm on executed trades without trade sources (Reuter, email trade execution, Term-sheet, Broker etc)
  • Run trades execution report to account for the trade confirmation issuance
  • Draft those trade confirmations not on Swift or Electronic Affirmed trades. Ensure the right ISDA template to use as per the Fx & Derivative Documentation Policy
  • Monitor the queue of the Electronic Affirmed Platform to confirm all trades, investigate and escalation for those do not affirm
  • Validate the paper trade confirmations, register the trades in Control List and deliver the trades confirmation in Ideal 3, Email attached Doc, Post mail
  • Reconcile auto-generate paper trade confirmations and release them accordingly
  • Record trades not draft/release by T + 1with comment on cause of delays in DCFC and ORMU Weekly Report
  • Follow up those dispute trade confirmations not issue in DCFC, WCFC/MCFC and escalate with report per Escalation Ladder Matrix.
  • Password protected on all trade confirmations delivered by Email doc attached
  • Scan and Library the Out-going trade confirmations respectively

Trade Confirmation Affirmation

  • Check and affirm all incoming trade confirmations in Risk System, MX, BO Confirm status
  • Investigate on the discrepancies and escalate to the respective stakeholder for action. Record the Disputed Trade Confirmation in the Confirmation Database for monitoring and follow up actions.
  • Trace on those trade confirmation not receive/not acknowledge accordingly and escalate per Escalation Ladder Matrix.
  • Weekly reporting on those unaffirmed aged trades to Team Lead/Manager and respectively Spokes for action/escalation
  • Scan and Library the affirmed trade confirmations
  • For inter-entity trades where trade confirmations need not be issued, run the inter-entity Trade Reconciliation, check on the unmatched and mismatched trades, investigate, raise/trace for trade match. Escalate on those aged items.
  • Run and investigate on the reconciliation between the Electronic Affirmed trades in Electronic system e.g. MarkitWire, Dsmatch with Risk System MX. Escalate on aged unsolved items
  • Engage Business, Sales, Traders, RMs on those aged unaffirmed trade confirmations with follow up action register in the Doc Database
  • Signature verification per Signature Mandate of Clients’ Board Resolution for those returned corporate paper confirmations. Investigate and follow up on any irregular signatories etc.
  • Prepare the weekly Unaffirmed Aged Confirmation Report for escalation and tracers
  • Prepare the monthly trended Unaffirmed Aged Confirmation Report to ORMU with comment.

Trade Events Notification

  • Extract the trade events execution from Risk System, MX. Match with trade source, prepare the Notification
  • Any dispute, investigate and escalate to the respectively traders/Sales and Processing Team
  • Monitor and register all aged the unaffirmed Notification for escalation
  • Scan, release, signature verification and Library on those outgoing and returns trade Notifications
  • Issuance of Failure to Pay (FTP) and monitor the acknowledgement
  • Issuance of Novation Letter for Assigned trades. Reconcile the Assigned trades with Transferor
  • Manage the documentation and execution for trade compression by triOptima-triResolve
  • Attend to Corporate/Credit Events documentation issuance and affirmation per ISDA protocol and or Industry practice.

Secondary Central Password Issuance

  • Cover for Hub and Spokes. Each clients will be issued a single password to be use by all teams (Hub/spokes) to protect the documents
  • Generate , issue and controlled the registered the Password
  • Manage the renewal per the Email Policy and ISS Password Issuance Guideline
  • Attend and investigate on the any Password dispute.

Advisory on ISDA Negotiation related to Operations

  • Review and approve on all deviations on ISDA negotiation on-boarding related to Trade Confirmation
  • Update ISDA Agreement to Risk System MX. Include the other Master Agreement being DBS Master, etc.
  • Facilitate the negotiation of ISDA on-boarding by furnishing details of live trade o/s to Legal
  • Engaging and negotiating supplementary Master Agreement with ISDA counterparts to facilitate trade confirmation in compliance to ISDA confirmation issuance by Swift.

Trading Account Opening –Board Resolution (BR) Documentation

  • Read and manage the Board Resolution related to Trades terms for acknowledgement
  • Clarify and trace with BMS Client Support for missing BR
  • Furnish aged report on missing and disputed BR to trades term to BMS Clients and RM/Sales.
  • Library all the BR Documentation

Client Support on Trade Confirmation Related issue by Spokes

  • Attend to Query by Spokes
  • Investigate and assisted Spokes on issue related to Trade Confirmation, Password issuance and Risk reporting

Requirements

  • Preferably Degree holder in Banking and Finance
  • Min 1-3 years of banking experience
  • Experience in various back-office operation functions which includes processing, reconciliations, confirmation, etc
  • Good understanding of the end-to-end transaction lifecycle of OTC products
  • Proficient in MS Excel, VBA and Python are added advantage
  • Team player who can work independently
  • Able to work in fast paced environment
  • Willing to work on splits Ops locations

Apply Now

We offer a competitive salary and benefits package and the professional advantages of a dynamic environment that supports your development and recognises your achievements.

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