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Are you dreaming about working in the greatest Asset manager in the Nordic region and being part of a fantastic team in a dynamic and constantly changing business environment, then continue reading as we are staffing up. As a member of Derivatives Operations you will be part of a team that has a strong focus on efficiency, scalability as well as projects and regulation. We serve to give our portfolio managers an optimal range of derivatives that can be used to improve investment performance and to manage risk. The position we offer Your job will consist of taking care of our daily operational tasks covering issues such as trade confirmation, reconciliation, payments and especially collateral management and OTC clearing. On a daily basis, you will interact with our portfolio managers, counterparties, clearing brokers and other internal- and external business units and you will be involved in projects. In order to reduce operational risk you will take active part in developing new and better control routines and ensure that appropriate information is distributed to internal as well as external stakeholders We are very focused on personal development and our daily work offers a wide range of tasks and participation in projects and we strive not to have two days that are exactly the same! The qualifications you need We are looking for candidates with strong knowledge within collateral management and OTC Clearing, who has a strong drive and willingness to go the extra mile. You are good in communicating with key stakeholders externally and internally about daily production matters, changes and problems across the value chain in order to ensure best operational practise and aligned expectations around roles and responsibilities. You work structured and result-oriented, both in teams and individually, and you focus on creating great customer experiences for our customers. We expect you to thrive in a dynamic world and that you are motivated by providing the best possible service. You focus on meeting deadlines and are proactive on solving outstanding issues. You have a professional and quality-conscious approach to your work and can work independently and are not afraid to make decisions. You have at least a few years of experience from the Asset Management industry and theoretical knowledge in derivatives is expected. You should also have experience in working with projects. We are using SimCorp Dimension and IntelliMatch why experience with these is an advantage but not a demand. More information and send application If you have questions regarding the position, please contact Christian Måhrbeck, +45 61 55 04 75. Application deadline 22 October 2017.