6+ years of experience in fixed income trade support, middle office, or investment operations at a global asset manager, bank, or financial institution.
Proven experience supporting front-to-back workflows and partnering closely with PMs/Traders and downstream operations teams from execution through settlement and reporting.
Strong understanding of global fixed income markets, foreign exchange products and lifecycle events (e.g., treasuries, corporate bonds, agencies, asset-backed securities, confirmations, settlements, fails management, reconciliations, factor paydowns, corporate actions etc)
Hands-on experience with trade management, confirmations/settlement, reconciliations, exception management, and operational controls; familiarity with applicable regulatory and client reporting expectations.
Proficiency in Aladdin and/or comparable OMS/IBOR/ABOR platforms, plus market/data tools and post-trade utilities used for confirmations, settlement, and reconciliations such as DTCC CTM, GTSS, Alert, CLS capabilities etc.
Strong understanding of global market standards, broker/clearing and custodian practices, and risk and control frameworks.