Responsibilities:
Trade booking across the firm's Liquid Credit businesses
Coordinate with traders on throughout trading lifecycle
Provide real time monitoring of portfolio activity and relay key points of feedback to decision makers
Managing and publishing both trade and portfolio summaries
Working with the risk monitoring group to develop reports related to the firm’s portfolios
Maintain a professional relationship with executing brokers
Resolve trade issues with counter party and internal operations
Perform other duties as required by position
Help refine existing trade allocation process and implement designated procedures
Required Experience:
Minimum 8 years of relevant trading assistant or buy side investment operations experience
Extensive knowledge of credit products
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