Middle Office VP, Capital Markets
| Dyddiad hysbysebu: | 05 Chwefror 2026 |
|---|---|
| Oriau: | Llawn Amser |
| Dyddiad cau: | 07 Mawrth 2026 |
| Lleoliad: | London, EC2M 4AA |
| Cwmni: | NatWest Group |
| Math o swydd: | Parhaol |
| Cyfeirnod swydd: | R-00271500 |
Crynodeb
Join us as a Middle Office VP, Capital Markets
Take on a new role, where you’ll have responsibility for the validation of complex trades booked by our traders
You’ll be managing and resolving queries from traders related to their trade bookings and risk positions
You’ll enjoy considerable interaction, acting as a reference point of the business and building strong connections with colleagues, stakeholders, and teams across the bank
Our team operates within a hybrid working model, which means you’ll work from home some of the time, but you’ll also spend two days per week working from our London office to collaborate with your colleagues
Please note there will be an initial training period of around three months, where you will be expected to attend the office on a daily basis
What you'll do
As a Middle Office VP, you’ll be applying risk management principles, you’ll mitigate key operational risks and identify opportunities to improve processes. You’ll deliver all team activities in accordance with approved procedures, making sure all service level targets are achieved. You’ll also ensure prompt and clear escalation of any outside of appetite risks, putting appropriate remediation plans in place.
We’ll look to you to review securitisation structures pre close to ensure they can be booked on NatWest Market platforms, along with finding solutions where this is not the case and providing guidance to the structuring teams. Post close you’ll be responsible for the lifecycle management of these structures building guides, preparing controls and ensuring adherence.
Your responsibilities will include:
Provide support to front to back structurers and trading teams trading and sales support within the Markets business
Review and advise on structures before closing a structure
Ensure trade bookings flow accurately to the finance teams and Profit & Loss statements
Provide insight both internally to the department and externally across other functions to support and challenge business decisions and strategy, as well as enhance the customer experience
Remain connected with external and industry developments, representing the organisation on industry groups where required
The skills you'll need
We’re looking for someone with experience of trade booking and validation. You’ll have product knowledge of Bonds, Repos, interest rate swaps, basis swaps and cross currency swaps. We’ll also expect you to have strong analytical and root cause analysis skills.
You’ll also need:
A degree in finance with good post qualification experience or related experience in the banking sector
Knowledge of bonds, repos, loan, deposit, forward rate agreement, foreign exchange and overnight index swaps
A background of working in settlements, middle office or confirmation teams
Expert knowledge of Microsoft Office, specifically Excel, VBA
Good communication skills, both written and verbal