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Senior Analyst, Syndication and Trade Support

馃嚭馃嚫RBC

New York, New York, United States of America0 applicants
Posted 1d agoApr 30, 2026, 12:00 AM5 days left 路 Wed, May 6, 2026
Full TimeSenior

Job Description

Job Description What is the opportunity? You primary focus will be on day-to-day deliverables, developing solutions based upon subject expertise, and occasionally representing the department or function at a broader level. You will provide Trade Support for the Primary and Secondary Fixed Income Trading Desks and Revenue Generators (Municipal Tender Option Business, Investment Grade, High Yield, Asset Backed, Money Markets, CLOs, and Structured Rates) including the daily reconciliation, support and associated Contract/DTC/Euroclear/FED settlement of Fixed Income and Equity Products. What will you do? Trade support of Debt Capital Markets and Secondary Corporate Trading desks for Corporate, ABS and CLO securities, Equity, Private Equity, ETF, Distressed, and US Treasuries bonds. Ensure proper controls are in place to resolve trade breaks in a timely manner, meet all regulatory reporting requirements (TRACE, ACT I OATS, Reg M), Balance positions, monitor GSCC, NSCC, DTC and Euroclear settlements using the Fl and Equity Fail reporting process. Use Bloomberg TOMs, ICI Impact, Fidessa, SOPHIS, Fenergo, TOB Database, Muni DSS, MS Excel, I-Synd, Cognos. Monitor/ Action Reconciliations (Position, Transaction, Security) in several systems, request CUSIPs, request and validate Bloomberg Description Pages / ICI Impact security and fee Setups are correct, FINRA TRACE setups, verify Trades details in Bloomberg TOMS / ICI are accurate, verify accuracy of updates in front end systems and monitor / action Trade Under Repair queues. Prepare and send internal announcements to align downstream teams, ensure updates / changes are communicated to relevant ops teams (i.e. Syn Ops, Sec Master). Ensure smooth settlement on settlement date (working w/ Syn Ops and R D). Handle operational ad-hoc queries from Desk, Product Control, Financial Controls, and Syndicate Operations. Support the implementation of new business initiatives while maintaining efficiencies and controls. Minimize operational gaps/risks between Revenue Generators and Support teams by connecting-up the organization to support Primary and Secondary Sales and Trading activities. Ensure all queries/issues are addressed in a timely fashion. Escalate issues when necessary. Minimize reputational risk to the firm. Suggest enhancements to and/or create reports/procedures to fill any gaps in control. Reconcile all trade differences and OKs quickly to ensure all bookings/process is clean and efficient. Ensure positions are in sync and resolve any position breaks. Resolve Fails and Unmatched trades in a timely fashion. Ensure FOBO, NSCC, GSCC, Ex-Clearing, and Fail Report is updated daily with accurate commentary. Monitor and control Settlements that are driven by the effective collaboration of Revenue Generating and Support teams. Liaise with Trading Desk and Stock Loan/Repo on deliveries where there is a short position. Monitor progress ofReorg Conversions and Tenders on FOBO as well as l 44a/RegS tracking spread

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