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The Capital & Portfolio Optimisation (CAPO) team within Operations partners with trading, quants, engineering, operations and controllers to build, execute and refine processes that manage and optimize balance sheet constraints for Global Banking and Markets derivatives businesses.
Team CAPO operates globally with presence in London, New York City and Singapore Associates support a variety of products spanning cleared and uncleared Interest Rate, Credit, FX and Mortgage derivatives. Associates are required to develop a strong product, industry, and technical knowledge to support ongoing Run-the-Bank optimizations such as derivative compressions whilst mitigating execution risk and performing data analysis.
The team is looking for an Associate to collaborate with global front-to-back teams to build, test and deliver bespoke clearing capabilities for APAC interest rate product trading desks as well as cross train the regional middle office team on a variety of post-trade optimization flows. The role will require extensive knowledge of the APAC business, bespoke trade flows at GS, and external third-party post-trade optimization processes. Candidates will need to be able to make immediate progress to meet tight project deadlines.
The role requires a high degree of communication and initiative in a fast paced and evolving environment. The team values individuals who are self-motivated, quick learners and detail orientated with an eye for process improvement.
Operations provides essential risk management and control to preserve and enhance the firm's assets and its reputation. For every trade agreed, every new product launched, or market entered, every transaction completed, it is Operations that develops the processes and controls which makes business flow.
You will be expected to:
Preferred Skills & Experience:
Basic Qualifications
Preferred Qualifications
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Job ID: 138899291