Gas Coal and Emission Trade Support at JP Morgan Chase (2025-01 – Present)
Executed day-to-day duties with precision and efficiency in gas, coal, and emission trade support operations.
- Executed day-to-day duties with precision and efficiency
- Facilitated communication between front and back office to enhance collaboration
- Conducted credit risk management while addressing client concerns promptly
- Collaborated with sales and trading teams to establish and audit new accounts
- Monitored activities diligently to mitigate risks associated with trades
- Ensured compliance with internal controls, minimising financial risks
- Prepared documentation for internal audits in a timely manner
- Responded to control, audit, and regulatory requests within set deadlines
Bullion Clearing at JP Morgan Chase (2019-09 – 2024-12)
Managed daily clearing operations for unallocated bullion commodities, ensuring process efficiency and optimal client service.
- Managed daily clearing operations for unallocated bullion commodities, ensuring process efficiency
- Oversaw client positions in London and Zurich markets, delivering optimal service
- Conducted credit risk management while addressing client issues with urgency and professionalism
- Collaborated with sales and trading teams to create and maintain new accounts through thorough audits
- Streamlined data analysis processes to enhance campaign monitoring efficiency
- Handled sensitive client information while maintaining utmost confidentiality
Bullion Settlement at JP Morgan Chase (2016-06 – 2019-09)
Successfully migrated settlement process from Bournemouth to Mumbai, managing pre- and post-settlement processes for precious metals.
- Successfully migrated settlement process from Bournemouth to Mumbai, improving operational efficiency
- Managed pre- and post-settlement processes for precious metals with precision
- Liaised daily with clearing and Middle Office to resolve issues promptly
- Implemented infrastructure changes, conducting new product testing to enhance service delivery
- Oversaw team and project management, focusing on risk control improvements
Global Fixed Income Trade Support at JP Morgan Chase (2015-06 – 2016-06)
Drove performance and accountability in Emerging Market and Fixed Income Cash Trade Support Team with focus on reconciliation and operational monitoring.
- Drove performance and accountability in Emerging Market and Fixed Income Cash Trade Support Team
- Managed end-of-day position and trade reconciliation to ensure data integrity
- Monitored daily trading and operational activities, upholding high accuracy standards
- Maintained resiliency planning for Global Fixed Income team, ensuring operational continuity across regions
- Reported position reconciliation between middle office and settlements systems accurately and efficiently
- Handled trade amendments and broker checkouts, delivering quick resolutions
- Booked redemption tickets in TOMS trade booking system with precision
Securitized Products Trade Support at JP Morgan Chase (2011-03 – 2015-06)
Managed ABS, CMBS, and CDO transactions in Securitized Products Group Middle Office, ensuring compliance and accuracy with focus on credit events and settlements.
- Managed ABS, CMBS, and CDO transactions in Securitized Products Group Middle Office, ensuring compliance and accuracy
- Calculated monthly credit events for CDO transactions aligned with payment cycles, facilitating timely settlements
- Entered credit event amounts for settlement into RMS system to maintain data accuracy
- Delivered daily cash reports to P&L team, supporting informed financial decisions
- Conducted reconciliation and reporting tasks with diligence and precision
- Handled inquiries effectively, providing solutions to stakeholders
- Facilitated training sessions to enhance team knowledge and skills
- Performed Nostro reconciliations efficiently, ensuring financial accuracy
Credit Settlements at JP Morgan Chase (2007-03 – 2011-03)
Executed post-Nostro reconciliation for CDS products, developed MIS systems, and conducted UAT for system implementations with focus on continuous improvement.
- Executed post-Nostro reconciliation for CDS products, ensuring accuracy and compliance
- Developed Management Information Systems (MIS) to improve analytical reporting
- Conducted User Acceptance Testing (UAT), facilitating smooth system implementations
- Planned productivity projects that enhanced operational efficiency
- Addressed priority issues with corrective actions, contributing to continuous improvement
- Prepared comprehensive audit reports, ensuring transparent processes for auditors
- Collaborated with Middle Office and interbank clients to resolve discrepancies
- Developed contingency plans, bolstering operational resilience
Asia Equities Function at JP Morgan Chase (2005-06 – 2007-03)
Developed equity and derivatives instruments for risk management in Asia using Bloomberg, Reuters, and Telekurs data with focus on reporting and reconciliation.
- Developed equity and derivatives instruments for risk management in Asia using Bloomberg, Reuters, and Telekurs data
- Maintained and updated dividend records with precision
- Produced KPI and MIS reports for management review, enhancing strategic decision-making
- Reconciled month-end pricing and corrected errors to ensure accurate product valuation
- Quickly learned and applied new skills to daily tasks, improving efficiency and productivity
- Successfully delivered on tasks within tight deadlines