The Global Banking & Markets- Interest Rate Derivatives Middle Office β Associate role in London involves working as part of the Operations team, facilitating intraday processing and exception management of trade breaks, and performing operational reconciliations to ensure successful trade flow and books and records balancing.
Requirements
- Communications β Identify key objectives for the organization and offer strategic vision and innovative ideas
- Functional & Technical Expertise -- Leverage deep technical operational expertise to drive strategic change across the front to back of the function and across the global organization
- Innovation β Partner in the definition, review, and execution of the FICC Operations Strategy
- Client Focus β Identify client needs and optimize operational efficiency by offering innovative and tangible solutions
Benefits
- Opportunity to work in a dynamic and fast-paced environment
- Potential for career progression and development
- Access to Goldman Sachs University courses and feedback review process