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Broking Desk Assistant

Taylor James Resourcing

London

On-site

GBP 40,000 - 60,000

30+ days ago

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Job summary

An established industry player is seeking a Trainee Underwriting Assistant to join their dynamic team. In this role, you will be at the forefront of trade capture operations, working closely with brokers to ensure the accuracy and timeliness of financial derivative transactions. You will thrive in a fast-paced environment, where your attention to detail and analytical skills will be crucial. This position offers an exciting opportunity to develop your career in the financial sector while contributing to a team that values precision and efficiency. If you are eager to learn and grow within a supportive atmosphere, this role is perfect for you.

Qualifications

  • Experience in trade capture and high-pressure operational environments is essential.
  • Strong analytical skills and attention to detail required.

Responsibilities

  • Assist in trade capture and ensure adherence to exchange rules.
  • Perform error correction and produce analytical reports.
  • Liaise with clients and assist with queries.

Skills

Trade capture

Error correction reporting

Analytical reporting

Client liaison

Tools

Internal trade booking system

Exchange systems (ICE, CME, EEX, SGX)

Job description

Trainee Underwriting Assistant – Lloyd’s

We are looking for a Futures Clearings Operations Specialist.

You will assist a team of FFA brokers to ensure the timely capture of executed deals, carry out error correction reporting, and improve processes. You will have experience in dealing with trade capture and exposure to working in a high-pressure, fast-paced operational environment.

What you’ll be doing
  1. Coverage of a range of financial derivative products.
  2. Trade capture on the internal trade booking system.
  3. Submission of trades to various exchanges including ICE, CME, EEX, and SGX.
  4. Ensure adherence to relevant exchange rules and policies.
  5. Trade error correction and reporting.
  6. Regular production of analytical reports.
  7. Update process procedures.
  8. Perform end of day reconciliations.
  9. Monthly invoicing to clients.
  10. Liaise with clients and assist with queries.
  11. Assist brokers with queries.
  12. Additional / ad hoc duties as required to meet the needs of the business.
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