Associate 1 - Bengaluru, India - BNP Paribas

BNP Paribas
BNP Paribas
Verified Company
Bengaluru, India

1 week ago

Deepika Kaur

Posted by:

Deepika Kaur

beBee Recuiter


Description
ASSOCIATE - APAC CASH PB RECONCILIATION (


JOB NUMBER:
GLO005783)


Job Description - Reconciliations and Control

About BNP Paribas Group:

BNP Paribas is a top-ranking bank in Europe with an international profile. It operates in 71 countries and has almost employees.

The Group ranks highly in its three core areas of activity:

Domestic Markets and International Financial Services (whose retail banking networks and financial services are grouped together under Retail Banking & Services) and Corporate & Institutional Banking, centred on corporate and institutional clients.

The Group helps all of its clients (retail, associations, businesses, SMEs, large corporates and institutional) to implement their projects by providing them with services in financing, investment, savings and protection.

In its Corporate & Institutional Banking and International Financial Services activities, BNP Paribas enjoys leading positions in Europe, a strong presence in the Americas and has a solid and fast-growing network in the Asia/Pacific region.


About BNP Paribas India Solutions:


Established in 2005, BNP Paribas India Solutions is a wholly owned subsidiary of BNP Paribas SA, a leading bank in Europe with an international reach.

With delivery centers located in Bengaluru, Chennai and Mumbai, we are a 24x7 global delivery center.

India Solutions services three business lines:
Corporate and Institutional Banking, Investment Solutions and Retail Banking for BNP Paribas across the Group.

Driving innovation and growth, we are harnessing the potential of over 6000 employees, to provide support and develop best-in-class solutions.


About Businessline/Function:

Global Market Operations also known as COCE (Client Operating Center of Excellence) is further divided into 4 departments i.e. Trade Processing & Support, PnL, Client Management & Change Management. Product Control in the wider market outside of BNP is Middle Office. Product Control consists of streams like Documentation & Reconciliation, Trade Support, P&L & Trading Portfolio & controls.

Product Control teams are in regular contact with Market Front Office, Regional Back Office's and Regional Finance & other support teams for their BAU.


Global Market Securities Settlements team ensures that Security transactions (Bonds, Equities, Complex Securities, ETF, SLAB, Repo.) and positions registered in the books under CIB ITO's mandate, match the commitment actually taken with counterparties within a secure setup, in accordance with Group and Regulatory Policies and/or contractual agreements.

Within the Securities Settlement Department, the main processes include pre & post settlement activities, clearing, and event-related accounting for securities deemed in scope


Job Title:

Associate Level 1


Date:

2023


Department:

COCE Product Control


Location:

Bengaluru


Business Line / Function:

Reconciliation & Controls Team


Reports to:

- (Direct)_

Vice President


Grade:

(if applicable)

NA
- (Functional)_


Number of Direct Reports:

NA


Directorship / Registration:

NA


Position Purpose

Primary responsibilities of the team is:

  • To perform trade validation for all daily Cash Equities booking and facilitate the downstream feeding for Settlement
  • To perform as an independent control team to strengthen all the control within Global Market Operations
  • To monitor HK traders short sell position and highlight positions accurately to ensure its funded in timely manner to avoid financial losses
  • Perform Control reports and activities identifying trading violations on restricted currencies and Technical counterparties activities
  • To perform daytoday trade & position reconciliation and analyze all the breaks arisen from the related reconciliation reports to ensure proper control and measure the associated risks on all outstanding breaks.
The team works closely with other Trade Support teams and Trading to ensure timely communication for any breaks identified.

Main drivers are client service quality, independent control, operational risk safety and cost efficiency.


Responsibilities

Direct Responsibilities

Position guarantee -

  • Has the responsibility make sure positions are in line & guarantee that positions in booking systems are correct.
  • Is the reference for position validation for P&L, Process & IT teams for migrations or rebooking & at any time for trade support, front office, & back office
  • Team is in charge of position controls & uses all the reconciliations tools available.
  • The reconciliation is exhaustive & done on a daily basis.
  • Assigned reports must be checked & analyzed every day.

ROLES AND RESPONSABILITIES

  • Accountable for endtoend transaction management lifecycle for their respective client coverage.
  • Trade capture, settlement exceptions and cash management.
  • Collaborate with various internal teams, such as trade processing, prematching, settlement and margin to process transacti

More jobs from BNP Paribas