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Friday, May 31, 2019

BARCLAYS IS HIRING | ANALYST | 2019 BATCH


Salary:  3.00 LPA

Designation:  Analyst (BA2)

Last Date to Apply: 3rd June 2019

Bond: None   
                                
Eligible Degree & Branch: BBA, BSC, BCA, B. Com, BA

Year of Passing: 2019 Only (Those who gave semester 6 exam in 2019)

Throughout Marks: 60% & above in 10th, 12th & Graduation (Average till semester 5)

Link for Test:
It’s a take from Home assessment, the link will be shared on the day of Examination.

Selection Process
  • Kindly register on the link given below
  • We will share a link to the registered students for the assessment test to be taken from home after 3rd June 2019.
  • Students to give the test within the instructed time window.
  • Shortlisting of the students will be based on the benchmarks set by Barclays.
  • Shortlisted students to appear for the F2F interview process (venue will be notified well ahead of time).
Roles and responsibility:

Overall purpose of the role:
An RTB role ensures processing is of the highest standard, whilst meeting agreed SLAs, and being mindful of risk, efficiency, budget and personal conduct. 

Key Accountabilities and Skills required:

o   Stakeholder management and leadership.

Ø Team player committed to developing a culture of transparency, integrity and collaboration where all fellow team members are motivated and inspired to deliver the required outcome, taking into account risk and process optimization factors.
Ø Track record of successfully delivering an excellent level of service as part of a team under challenging circumstances. 
Ø Ability to work alongside a diverse global workforce through rapid change and / in periods of uncertainty
Ø Strong interpersonal and communication skills to effectively manage key relationships across functions, the global matrix, and external stakeholders.
Ø Builds trust through consistent delivery and posses’ ability to creatively resolve problems and issues at pace.
Ø Understands the Business Strategy and is able to add-value at the team meetings and influence the outcome.
Ø Strong client focus, always puts customer satisfaction first. Track record of maintaining effective customer relations and service program through delivery of SLA's.

o   Risk and Control: All Barclays colleagues have to ensure that all activities and duties are carried out in full compliance with regulatory requirements, Enterprise-Wide Risk Management Framework and internal Barclays Policies and Policy Standards

Ø Strong risk background/culture and is able to identify problems and resolve, before the risk occurs.
Ø Ability to implement Risk Self-Assessment and ensure compliance with all Regulations
Ø Detail-orientated in order to avoid, eliminate and mitigate risk.
Ø Demonstrate a thorough understanding of the operational front to back procedures that support your specific function and products.
Ø Ability to implement excellent risk metrics to ensure the RTB process is tracked and monitored successfully.

o   Decision making and problem-solving
Ø Ability to understand and analyze complex problems and provide effective tactical and strategic solutions.
Ø Understanding of broader business strategy, and apply this lens when contributing to team decisions.
Ø  Aptitude to operate with close attention to detail and able to prioritize your key activities to ensure delivery. 

o   Key specific accountabilities.
Ø Deliver the highest standard of service to internal and external clients against agreed SLAs.
Ø Ensuring you uphold personal conduct in line with the Barclays Way and call out behaviors, actions or decisions that fall short of these standards or are inconsistent with our Values.
Ø  Ability to identify, escalate and report risks and issues.
Ø Identifying rationalization opportunities to ensure an efficient delivery of service by yourself and your colleagues.

Technical Skills and Qualifications will include
o   Bachelor’s degree or equivalent
o   Financial Services experience
o  High-level understanding of 1-2 functions from the trade lifecycle listed in the below table
o   Detailed knowledge of 1 function listed.

Function
Sub-Function
Trade Management
Post-trade aggregation, Trade capture into back-office platforms, Trade enrichment, Amendments and modifications, Bilateral/Multilateral netting, Trade validation, Trade event management, Novation/Assignment, Close-out/Tear-up, Additional transaction servicing
Confirmations
Affirmation and allocation, Generation/sending of confirmations, Confirmation matching, Document management, Exception handling
Clearing
Generation/sending of clearing instructions, Clearing fees
Collateral & Portfolio Management
Manage collateral agreements, Matching and allocation, Administration, Reporting, Position management, Valuation
Client Valuations
Processing client valuation statements, Client servicing
Settlement and Delivery
Generation/sending of settlement instructions, Settlement processing, Settlement fail processing and exception management
Regulatory Reporting
Transaction reporting, Position reporting, Client asset reporting
Asset Servicing
Corporate actions, Coupon/dividend processing, Tax services, Proxy Voting, Custodian fees
Reconciliations
Front-to-back (internal) reconciliations, 3rd party reconciliations, Nostro reconciliations
Referential and Static Data
Product master (static), Client/Counterparty, External reference data, Operational data, Corporate action database
Operations Management
Operations management, Change management, Performance reporting, Risk & Controls management, Network management and billing

o   High-level understanding of 1-2 of the product families listed in the below table
o   Detailed knowledge of 1 product family.

Product Family
Product
Sub-Products
Securities
Equities
Cash Equities
Single Stock, ETF's, Baskets, Medium-term notes
Stock Lending
Stock lending and borrowing
Fixed Income
Rates
Government bond/bonds
Credit
Corp. Bonds/High yield, convertibles, MBS, ABS
Repos
Repos, Bond lending & borrowing
Listed Futures & Options

Listed FX, Rates, Credit, Equities futures &options (incl. listed warrants)
Foreign Exchange
Money Markets

Loans & deposits, term deposits, certificates of deposit, commercial papers, treasury bills, bankers acceptances, eurodollar deposits
FX Cash

Spot, Forward, FX swaps, NDFs
FX Options

Vanilla, Exotic
OTC Derivatives
Rates
Flow
Vanilla swaps, caps/floors, cross-currency swaps, debt options, FRAs, OIS, swaptions, IRDs
Structured
Baskets, callable, CMS, exotic options and currency swaps, path-dependent derivatives, ratchets, snowballs, TARN

Credit
Flow
CDS (single-name, baskets, index, index-tranche)
Structured
Exotic CDS, credit options, CDOs/CDO2s, swaptions, synthetic CDOs, CLOs/CLNs, all other securitized credit
Equity
Flow
CFDs, vanilla options, variance/equity swaps (single stock, dividend, OTC warrants, index/basket, spread), index deposits
Structured
Accumulators, exotic options, packaged dispersions, correlation, (non-) alternative investment underlying (certificates/notes, OTC, funds)
Commodities
OTC
Flow
Vanilla options, energy, metals, agricultural swaps
Structured
Index Swaps
Listed

Agriculture, Energy, Metals


REGISTRATION LINK: CLICK HERE


ALL THE BEST.

Regards,
VIVA PLACEMENT CELL
#sabkojobmilega - Bhushan Talekar


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11 comments:

  1. Don't have 60% in hsc should i register?

    ReplyDelete
  2. Is this job is related to IT industry ..?

    ReplyDelete
  3. Due to paper revaluation,I didn't get my 5th sem marksheet.So can I apply ?

    ReplyDelete
  4. Is experience compulsory?

    ReplyDelete
  5. What topics will be there for test?

    ReplyDelete
  6. When is the test ???

    ReplyDelete
  7. I have registered for this drive but I did not get any home assessment test can anyone kindly notify me when would be the test conducted???? Can anyone plzz tell??????

    ReplyDelete