Risk Assessment & Monitoring - Derivatives Specialist – M/W

Milano 18-12-2024

Risk Assessment & Monitoring - Derivatives Specialist – M/W

JobLeads GmbH Milano 18-12-2024
Riassunto

Località

Milano

Divisione Aziendale

Tipo di contratto

Data di pubblicazione

18-12-2024

Descrizione Lavoro

ResponsibilitiesSGSS has been present in Italy since September 2006 through a dedicated Italian Bank, SGSS S.p.A., one of the main players in the Securities Services' industry that covers all SGSS businesses for its two segments of clients: Financial Institutions & Brokers and Asset Managers & Insurance. Thanks to over 500 employees based in Milan and Turin, SGSS S.p.A. ensures daily support to over 300 clients. Our clients are institutional investors (insurance companies and pension funds), asset managers, financial intermediaries (brokers, investments companies).Mission:The Risk Assessment & Monitoring - Derivatives Specialist’s main responsibility is the fulfillment of all Depositary Bank oversight duties, in accordance with applicable regulation and internal policies. The officer is required to have a deep knowledge of Listed Derivatives and OTC Derivatives. Moreover, an intermediate approach to coding is essential to face daily tasks.Tasks and responsibilities:Be charge of the clients' portfolios, mainly: UCITS, Pension Funds & Asset OwnersBe charge to properly and autonomously perform control methodology used by Depositary Bank applying risk approach and escalation procedureBe able to efficiently report issues, solutions, breaches within the team and to the Second Level Control Function according to Procedures and deadlines defined for his/her Client's in PortfolioBe able to learn Regulations and Procedure, build strong customer relationships with existing and new clients and external providers to guarantee:the correctness of client's NAV in his/her Portfoliothe monitoring of investment restrictions according to main European, local Regulation and Fund ProspectusProfile requiredStudies & experience:Bachelor’s degree in economics.Good knowledge of financial markets, investment funds industry and accounting with at least 6 months of relevant experienceLanguage skills:Italian: C2English: B2Technical, operational and soft skills:Excel: AdvancedAccess: ElementaryVBA: IntermediateEmpowerment and accountabilityThinking out of the boxClient FocusCollective Mindset
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