Walk in for Senior Analyst/Specialist/Teamlead Level Roles
Walk in on 08th & 09th Dec 2012 for Investment banking Professionals with below experience
At least 1-7 years of experience in Capital markets profile working in global markets function in the investment banking domain on trade confirmations, settlements, Trade exception management, Fees and Billing, Commission Management, Security pricing, Cash Management/Collateral Management, Currency Portfolio management, exception Management, Inventory management
Candidates should have experience in any one function from below
Settlements
Loan /return settlements
Inventory Management (investment Banking)
Claims/Fails Management
Pricing and valuations
Candidate should be aware of Equities, FI, FX and their derivatives.
Should have experience in preparation of Standard operating procedures, managing audits and risk
Should suggest process improvements and value adds to customer
Good domain skills in Data Management and good understanding on Trade Life Cycle
Settlements, Confirmations, Commission, Management Pricing and valuations
Fee and billing, Client reporting
Key Responsibilities / Functions / Role:
Ensure that the deliverables are completed within the specified SLAs with desired accuracy and timeliness
Interact with the transition team and understand the As Is and To Be process
Create process flows for the various sub-process so that a repository is created for repeated trainings in the future
Devise a clear cut tracking mechanism , log the errors and ensure timely correction of faults so that the recon process adhere to the specified timelines
Should be willing to work in shifts
Education
Bachelorsdegree/ MBA
Skills:
Ability in processing accurately and adhere to strict timelines
Good interpersonal and communication skills and a team player
Capability to detect errors at the early stages in the sub process and provide timely solutions to the team
Ability to interact with Managers/ clients effectively and manage SLAs
Should be well versed with MS Office tools, specially Excel
Candidates should have experience in any one function from below
Settlements
Loan /return settlements
Inventory Management (investment Banking)
Claims/Fails Management
Pricing and valuations
Candidate should be aware of Equities, FI, FX and their derivatives.
Should have experience in preparation of Standard operating procedures, managing audits and risk
Should suggest process improvements and value adds to customer
Good domain skills in Data Management and good understanding on Trade Life Cycle
Settlements, Confirmations, Commission, Management Pricing and valuations
Fee and billing, Client reporting
Key Responsibilities / Functions / Role:
Ensure that the deliverables are completed within the specified SLAs with desired accuracy and timeliness
Interact with the transition team and understand the As Is and To Be process
Create process flows for the various sub-process so that a repository is created for repeated trainings in the future
Devise a clear cut tracking mechanism , log the errors and ensure timely correction of faults so that the recon process adhere to the specified timelines
Should be willing to work in shifts
Education
Bachelorsdegree/ MBA
Skills:
Ability in processing accurately and adhere to strict timelines
Good interpersonal and communication skills and a team player
Capability to detect errors at the early stages in the sub process and provide timely solutions to the team
Ability to interact with Managers/ clients effectively and manage SLAs
Should be well versed with MS Office tools, specially Excel
**** Candidates with US Visa are preferred********
PS: The work location will be either Chennai or Coimbatore
Candidates with relevant experience are requested to WALK IN for interview on 8th & 09th Dec 2012 09AM to 02PM at the below address,
HCL Technologies Ltd.
H01B, HITEC CITY-2,
Survey No. 30,34,35 & 38.
Phoenix Infocity Pvt. Ltd.
Behind Cyber Gateway,
Madhapur, Hyderabad-500081
Contact HR - Vineesh Sagar
vineesh.sagar@hcl.com
91-44-3341 0708