Atlantic Group
Overview
Operations Analyst (Investment Operations) – New York, NY. Hybrid schedule. Perm (Contingency). Job #46877. Salary: $80,000–$120,000/year + bonus. Location: New York, NY. Schedule: Monday to Friday (Hybrid). Responsibilities
Trade & Cash Management: Reconcile cash and positions across counterparties, custodians, and fund administrators. Securities Processing: Manage trade flow and settlement for derivatives and fixed income products, ensuring accuracy and timeliness. Collateral & Repo Management: Process repo transactions, derivative settlements, and collateral movements with counterparties. Risk & Reporting: Maintain exposure reports, leverage calculations, and collateral tracking to support risk management. Valuation & Analytics: Contribute to monthly valuations, performance metrics, and management reporting. Qualifications
Education: Bachelor’s degree in Accounting, Finance, Economics, or related field required. Experience: 1–5 years in investment operations focused on structured products such as MBS, CMBS, CLOs, bank loans, and whole loans. Technical Skills: Advanced Excel proficiency with preferred experience in Geneva, Aladdin, or similar portfolio management systems. Industry Knowledge: Strong understanding of trade lifecycle management, collateral processes, and fixed income/structured credit products. Skills & Attributes: Analytical, organized, and detail-oriented with strong communication and problem-solving skills. Details
Location: New York, NY Type: Perm (Contingency) Salary: $80,000–$120,000/year + bonus Job #: 46877
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Operations Analyst (Investment Operations) – New York, NY. Hybrid schedule. Perm (Contingency). Job #46877. Salary: $80,000–$120,000/year + bonus. Location: New York, NY. Schedule: Monday to Friday (Hybrid). Responsibilities
Trade & Cash Management: Reconcile cash and positions across counterparties, custodians, and fund administrators. Securities Processing: Manage trade flow and settlement for derivatives and fixed income products, ensuring accuracy and timeliness. Collateral & Repo Management: Process repo transactions, derivative settlements, and collateral movements with counterparties. Risk & Reporting: Maintain exposure reports, leverage calculations, and collateral tracking to support risk management. Valuation & Analytics: Contribute to monthly valuations, performance metrics, and management reporting. Qualifications
Education: Bachelor’s degree in Accounting, Finance, Economics, or related field required. Experience: 1–5 years in investment operations focused on structured products such as MBS, CMBS, CLOs, bank loans, and whole loans. Technical Skills: Advanced Excel proficiency with preferred experience in Geneva, Aladdin, or similar portfolio management systems. Industry Knowledge: Strong understanding of trade lifecycle management, collateral processes, and fixed income/structured credit products. Skills & Attributes: Analytical, organized, and detail-oriented with strong communication and problem-solving skills. Details
Location: New York, NY Type: Perm (Contingency) Salary: $80,000–$120,000/year + bonus Job #: 46877
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