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Negotiable
Our client, an International Financial Institution, is seeking a LME Operations Analyst to join their team on a permanent basis. This is a hybrid position
Main responsibilities (but not limited to):
? Respond to audit request
? Prepare customer warrant releases as per customers instructions, ensuring they comply with credit policy
? Prepare and perform month end averaging in SYSTEM ? base metals and bullion
? Reconcile all exchange fees on a monthly basis and agree any outages and prepare any necessary client debit / credit notes
? Perform LME Matching from the trading floor
? Perform SWORD releases Clearing & Ex-clearing checking against the position sheet and credit policy before authorising..
? Perform end of day warrant reconciliation
? Checking of trades entered into the SYSTEM on the Online Checking Screen
? Perform options declarations LME, CME, ICE and LIFFE
? Ensure Transfers (Expits), Clearing Switches and Metal Swaps are processed and matched on a timely basis
? Set-up new products, add them to the relevant profit centre and then inform Finance so they are able to add nominal
? Perform give in trades upon request from our clearing customers ? all exchanges
? Produce and monitor the negative ledger balance report
? Perform the clearing houses & clearing brokers cash and forward reconciliations on a daily basis
? EMIR ? Prepare files and send to the repository and dealing with any manual updates to submit files
Key skills:
? 2 years experience in the commodities industry, experience with LME is compulsory.
? Good knowledge and understanding of commodities trading.
? Ability to work under pressure within a manually operated system and market volatility
? Accurate keyboard skills
? Ability to analyse problems and find a resolution
For more information on this role please contact Judith Webb by sending your CV to judith@bhal.co.uk quoting ref 16952JW.
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