Full time
London Stock Exchange Group
Sydney, Australia
Key Responsibilities SwapClear Client Services & Middle Office Daily monitoring of member clearing activity; managing trade exceptions with members, clients and trade execution venues (SEFs). Managing the handover of the service from NY and the handover to London. Responding in a timely manner to queries from members and clients in Asia-Pacific region. Support the onboarding of new members and clients onto SwapClear. Provide support to members when testing the roll out of new products or services. Escalation point for issues with the SwapClear Production environments including communicating issues to members. Act as the single point of contact for member and client queries across all SwapClear activity. Build and maintain strong relationships with members and clients. Treasury & Collateral Operations Analyst Operational management of A$ margin calls/pays are processed successfully through the RITS system and any issues escalated as...