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Global Market Operations Control Analyst, London
Location: London, United Kingdom
Job Category:
Other
EU work permit required:
Yes
Job Description:
This is a hands-on control function providing daily oversight of trade flows from the Global Markets business, ensuring full compliance with MiFID II, EMIR, and MAR regulatory requirements. You will be responsible for conducting trade and transaction reporting, managing market abuse surveillance, and reviewing alerts and communications to help safeguard market integrity.
Additionally, you will support the AVP in the Global Market Operations Control function and take ownership of daily operational processes, data reconciliations, and surveillance activities using platforms such as Bloomberg RHUB.
Key Responsibilities
* Oversee day-to-day Global Markets trade flows to ensure timely and accurate reporting to the FCA and delegated EMIR repositories.
* Execute MiFID II Post-Trade Transparency, Transaction Reporting, and MAR/Best Execution workflows across all products.
* Conduct daily market abuse surveillance and review trade and communication alerts.
* Perform daily reconciliations using VBA-driven solutions across multiple systems, including Murex and RHUB.
* Investigate exceptions, replay trades, and manage the resolution of data/process issues.
* Maintain, test, and uplift VBA-based controls and exception management tools.
* Develop automated solutions to streamline operational processes and embed STP enhancements into BAU.
* Support monthly MI and KPI reporting for senior management and produce regular updates on control effectiveness.
* Collaborate with business, change, and technology teams to drive improvements and raise change requests (CRs).
* Assist in reviewing new business/product proposals from an operations and regulatory standpoint.
* Ensure procedures and SLAs are documented, maintained, and in line with regulatory expectations.
Qualifications & Experience
* University degree in Economics, Finance, Mathematics, or a related discipline.
* Strong working knowledge of MiFID II, EMIR, and MAR regulatory frameworks.
* Prior experience with trade and transaction reporting within an investment banking or wholesale banking environment.
* In-depth understanding of trading products including Fixed Income, FX Derivatives, Money Markets, and Rates.
* Advanced Excel/VBA skills – able to create, edit, and manage macros confidently.
* Experience in daily reconciliations, data mappings across systems, and UAT for data-driven processes.
* Exposure to market abuse surveillance processes and tools.
* Experience with the Bloomberg RHUB platform (including APA/ARM reporting).
* Previous involvement in regulatory audits, control framework enhancements, and process automation.
* Strong analytical and problem-solving mindset with a proactive approach to issue resolution.
* Excellent attention to detail – essential for maintaining reporting accuracy and compliance standards.
* Clear and confident communicator – able to work across multiple teams including compliance, technology, and front office.
* Calm under pressure with the ability to manage deadlines and daily operational demands.
* A collaborative team player who takes ownership of tasks and contributes to continuous improvement.
Why Join?
This is a fantastic opportunity to step into a high-impact role within a well-established regulatory control function. If you’re passionate about market regulation, operational oversight, and want to work at the forefront of global markets compliance, we’d love to hear from you.
Apply now to contribute to a high-performing team ensuring regulatory excellence and operational resilience.
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