October 2014 — Present
Reviewing & understanding the Structure of trades.
Valuation Review of structured trades executed globally by the Credit, Rates, FX, Commodities and Cross Asset trading desks.
Valuing the trades and calculating Day 1 Net Present Value (P&L) of trades and constructing Payoff and Cash Flow.
Preparing Weekly reports for all regions for Global Log update and Monthly MIS for all regions on T+1 basis.
Covered products In Fixed Income OTC derivatives, Notes, and Structured Financing.
Providing product and system knowledge to new Joinees.
Laising with Regional Counterparts for queries and resolving them.
Handling Audit -related queries independently.
Part of Radar UAT project wherein PC had to perform their functions to sign off before Final production release.
Involved in FLAD Trainings: Presentation on Process related topics