





Tier-1 bank, mid-level generalist role, metro Hyderabad location, and broad skills amplify competition.
Role requires specialized derivatives, PnL, and middle-office experience, limiting cross-industry transferability.
Mandatory 5+ years, degree, and derivatives/PnL expertise drive strict shortlisting.
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Monitor real-time trade activity, exceptions, and cancels/corrects for trading desks including blotter checks and trade affirmation resolution.
Perform key trade lifecycle functions: affirmations, allocations, validation, fail resolution, and exception management including reconciliations and RTTM trade exceptions.
Conduct daily Profit and Loss reporting, attribution reporting, PnL break analysis, and collaboration with finance for daily reconciliation.
5+ years of Institutional Investment Operations experience or equivalent.
University degree/post graduation in Business, Accounts, Economics, Statistics, or related field.
2+ years experience in Middle office, risk, and PnL with any asset class; commodity experience preferred.
Ability to work US shift: 09:00-18:00 EST.
Strong knowledge of derivative products, especially Fixed Income and Mortgage Securities, with extensive understanding of loans, securities, and derivatives.
Advanced Microsoft Office skills including Pivot tables and logical formulas; experience with macros or programming is desirable.
Experience in process improvement, risk control, and collaborating cross-functionally to create efficiencies and mitigate risk in a fast-paced environment.