Our client is a top-tier international asset management firm, currently looking for an experienced Investment Operation Manager, focusing on derivatives middle office area, to join their team.
Responsibilities
Work closely with the Middle Office Derivative teams located in HK, EMEA and US.
Monitor the outsourced middle office activities covering: OTC, listed derivatives and collateral management scope.
Work closely with the HK local trade & position life cycle team.
Response to the Middle office Derivatives topics internally and monitor internal and external requests from key stakeholders i.e., investment teams, traders, external providers promptly.
Perform root cause detection and solution implementation regarding any structural issue.
Work closely to various projects related to Derivatives initiatives for global, regional & local projects.
Lead various stakeholders on topics impacting the middle office.
Requirements
5+ years experience in derivatives middle office area
Familiar with OTC and listed derivatives, Collateral management workflow processes & instruments
Performed as Subject Matter Expert in projects/initiatives
Experienced in an international environment
Strong knowledge on full trade life cycle including awareness of middle and back-office functions/processes
Strong experience in Asset Management industry
Familiar with digitalization and automation skills i.e., VBA or RPA is advantageous.
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