· Minimum Bachelor or Masters’ degree
· 1-2 years’ experience preferred
· Product Knowledge
o Exposure and understanding of Equity and Fixed Income Derivative Products
o Exposure and understanding of Corporate Actions
· Exercises sound judgment and analysis
o Comprehends and reasons - Displays well developed ability to comprehend, reason and process complex data.
o Demonstrates excellent attention to detail when analyzing or interpreting data.
o Breaks down problems/issues into smaller, more manageable parts.
o Asks appropriate questions to source and validate data in order to support comprehensive analysis; consults subject matter experts where needed.
o Skillfully identifies problems, builds solutions, and applies lessons learned to parallel situations.
o Anticipates problems / obstacles and understands the ramifications to business. Offers workable solutions.
· Demonstrates Commitment to Control and Risk Management
o Escalates clearly and appropriately
o Capable of, or experienced in, meeting daily deadlines
o Capable of, or experienced in, prioritizing multiple tasks when required
· Communicates Effectively
o Capable of open, accurate and concise communication at all times, whether through email or phone
o Confident of communicating across many different areas and across levels
· Technical Knowledge/Experience
o Experienced with MS Office (MS Excel/Access/Outlook etc.)
o Track record of learning or adapting to new technology systems and applications
o Works effectively and builds relationships with colleagues
o Willing to perform additional tasks, when required, to help team meet its control goals