Hello Folks,
While filing Express Entry I am requiring to select NOC code and I am getting confusion in selecting the correct code. I am working in Investment Bank's Back office department and below are my Job Roles. Can anyone in the forum was having similar Experience and got PR.
Key Responsibilities / Functions / Role:
Preparing daily trades, position and cash reconciliation
Reconcile and resolve exceptions including accrual differences, depository
position differences, income tracking errors, cash breaks, and suspense breaks
Assist swap confirmation team in covering all OTC products such as total return
swaps, equity options, credit defaults, convertible bond options and fixed income
products.
Assist swap confirmation team in developing and implementing projects and
software which promote automation and efficiency.
Understanding and managing settlement of swap cash flows associated with
OTC products, including upfront fee, unwinds, quarterly premium and resets
Liaison between trading desk, reconciliation and control group, and
counterparties to resolve any economic discrepancies on trades in timely,
efficient manner
Handle clients’ cpties inquiries via telephone and other sources timely and
appropriately within defined standards and deliver high quality service to internal
and external customers.
Ability to follow established procedures to ensure breaks are not caused /
minimized, causal are tracked and metrics updates are accurate
Good Team Player
Quick learner
Should be willing to work in shifts and flexible work hours as per process
requirements
Profound ability in identifying disputes and resolve discrepancies with
counterparties in real time (Individual transaction discrepancies, Margin Call
disputes, fully auditable party to party communication etc.)
Should be able to work with the recon teams / clients / brokers / counter-parties
for resolving exceptions
Education
While filing Express Entry I am requiring to select NOC code and I am getting confusion in selecting the correct code. I am working in Investment Bank's Back office department and below are my Job Roles. Can anyone in the forum was having similar Experience and got PR.
Key Responsibilities / Functions / Role:
Preparing daily trades, position and cash reconciliation
Reconcile and resolve exceptions including accrual differences, depository
position differences, income tracking errors, cash breaks, and suspense breaks
Assist swap confirmation team in covering all OTC products such as total return
swaps, equity options, credit defaults, convertible bond options and fixed income
products.
Assist swap confirmation team in developing and implementing projects and
software which promote automation and efficiency.
Understanding and managing settlement of swap cash flows associated with
OTC products, including upfront fee, unwinds, quarterly premium and resets
Liaison between trading desk, reconciliation and control group, and
counterparties to resolve any economic discrepancies on trades in timely,
efficient manner
Handle clients’ cpties inquiries via telephone and other sources timely and
appropriately within defined standards and deliver high quality service to internal
and external customers.
Ability to follow established procedures to ensure breaks are not caused /
minimized, causal are tracked and metrics updates are accurate
Good Team Player
Quick learner
Should be willing to work in shifts and flexible work hours as per process
requirements
Profound ability in identifying disputes and resolve discrepancies with
counterparties in real time (Individual transaction discrepancies, Margin Call
disputes, fully auditable party to party communication etc.)
Should be able to work with the recon teams / clients / brokers / counter-parties
for resolving exceptions
Education