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Showing 2 Trade Analyst jobs in the United Arab Emirates
Hedge Fund Trade Operations Analyst - Dubai
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Job Description
Verition Fund Management LLC ("Verition") is a multi-strategy, multi-manager hedge fund founded in 2008. Verition focuses on global investment strategies including Global Credit, Global Convertible, Volatility & Capital Structure Arbitrage, Event-Driven Investing, Equity Long/Short & Capital Markets Trading, and Global Quantitative Trading.
Job Title: Hedge Fund Trade Operations Analyst- Dubai
Location: Dubai, UAE
The Hedge Fund Trade Operations Analyst is responsible for communicating with portfolio managers, traders, brokers, and other interested parties, in order to confirm and settle trades on time, while completing daily deliverables, and fulfilling other trading and operational tasks.
Key Responsibilities:
- Work closely with Trading, Fund Accounting, Technology, and Risk teams with managing all trade lifecycle events for an array of asset classes including equity products, exchange traded derivatives, OTC derivatives, FX, and fixed income products.
- Assist with trade bookings, processing life cycle events, support on P&L inquiries, and daily reconciliations.
- Process trade allocations, affirmations, settlements, options exercise/assignments, and related tasks.
- Monitor mandatory corporate action events and liaise with multiple PMs and PBs on voluntary elections.
- Perform processes related to corporate actions for equity and fixed income products.
- Advise MO/Valuations/Cash Rec teams on system level and/or PB level corporate action breaks.
- Monitor third-party platforms like prime broker portals and administrator systems for trade management.
- Work with the Reconciliation and Control teams to ensure the accuracy of internal books and records.
- Identify process gaps, work with internal and external resources to create detailed requirements to solve issues.
- Grasp big picture objectives to help senior management streamline workflows and minimize operational risk.
- Develop and maintain strong working relationships with both internal and external stakeholders.
- Perform adequate due diligence to resolve daily issues in a timely manner, in order to avoid any financial or reputational impact.
- Maintaining up-to-date knowledge of industry best practices to further develop effective operational policies and procedures.
- Performing other duties as may be requested by senior management.
Requirements:
- Undergraduate degree; preferably with a concentration in finance, economics, or related discipline.
- 5+ years of relevant work experience.
- General knowledge of and familiarity with financial instruments (i.e. equities, fixed income, options, swaps, futures, foreign exchange) within both domestic and global securities markets
- In depth knowledge of interest rate swaps, swaptions, and exchange traded derivatives highly preferred.
- Familiarity with fixed income and futures delivery processing.
- Systems experience with OSTTRA, Trax, Orchestrade, Geneva and Bloomberg beneficial.
- Self-starter with excellent analytical and problem solving skills.
- Strong attention to detail.
- Ability to efficiently prioritize daily processes, ad-hoc requests, and any issues escalated by internal and external parties.
- Intermediate or higher Excel proficiency.
- Ability to communicate professionally and effectively with both internal and external stakeholders.
- High level of computer literacy, and capability to learn new systems quickly.
- Ability to work both independently and within a team.
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Financial Planning & Analysis (FP&A) Manager
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Role Overview
We are seeking a highly analytical and strategic FP&A Manager to support financial planning, budgeting, forecasting, and decision-making for a real estate development company. The role requires strong financial modeling skills, a deep understanding of real estate finance, and the ability to provide actionable insights to senior management.
Key Responsibilities- Lead the budgeting, forecasting, and financial planning processes for real estate projects and overall company operations.
- Prepare financial models, scenario analysis, and profitability forecasts for new and ongoing development projects.
- Analyze financial performance, track KPIs, and provide variance analysis to support strategic decisions.
- Collaborate with project managers, accounting, and operations teams to ensure accurate financial reporting.
- Develop dashboards and reports to provide actionable insights to senior management and stakeholders.
- Support investment analysis, feasibility studies, and capital allocation decisions for new development projects.
- Ensure compliance with accounting standards, corporate policies, and internal controls.
- Assist in presentations to investors, lenders, and executive leadership.
- Bachelor’s degree in Finance, Accounting, Economics, or related field (Master’s or MBA preferred).
- 5–8 years of experience in FP&A, preferably in real estate development, construction, or property investment.
- Strong financial modeling, budgeting, and forecasting skills.
- Proficiency in Excel, ERP systems, and financial reporting tools (e.g., SAP, Oracle, Yardi).
- Excellent analytical, problem-solving, and communication skills.
- Ability to work under tight deadlines and manage multiple projects simultaneously.
- Financial Planning & Analysis (FP&A)
- Real Estate Project Finance
- Budgeting & Forecasting
- Financial Modeling & Valuation
- KPI Tracking & Reporting
- Investment & Feasibility Analysis
- ERP & Reporting Tools
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