FAB Bank
AVP, Trade Support
🇦🇪 Abu Dhabi, UAE🏢 On-site
MurexMarkitWireBloombergOTC DerivativesETD DerivativesFXRatesRisk Management
At a Glance
- Category
- 🏦 Finance & Banking
- Level
- C-Level
- Experience
- 5-8 years
- Type
- Full-time
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FAB Bank
5000+ employees
The AVP executes daily T0 control responsibilities across FX, OTC and exchange‑traded derivatives, ensuring accurate booking, confirmation, lifecycle management and risk/P&L integrity.
The role supports the VP in implementing the T0 Common Inbox operating model, acting as a product SME (Rates, FX, Derivatives, CMOD) while maintaining strong FO and MO/BO interaction. Supports the onboarding of NTB / Existing sub-funds for NBFI and other strategic Clients.
1 Daily T0 Execution & Inbox Management
- Act as T0 Dealer Assist on rotation (according to desk / demand), triaging requests, assigning items to the right product SME and ensuring SLAs are met.
- Route items using product folders (FX/MM, Structured, Derivatives, Capital Markets, Allocations, Matching Breaks, Client Issues, Regulatory).
- Maintain traceability and follow reply‑all discipline.2. Trade Capture & Validation & Client onboarding
- Validate new trades across IRS, FX options, swaptions, futures, structured notes, exotic options and multi‑underlying products.
- Ensure accurate trade booking in Murex and affirmation via MarkitWire.
- Fix trade discrepancies, mismatches and booking errors before EOD.
- Murex Set up of Client onboarding / co-ordinator across Credit/ KYC/ Reference date / Documentation 3. Lifecycle Management
- Execute rate fixings, option expiries, exercises, coupon processing, barriers, resets, amendments and restructures.
- Process physical and cash settlements, including moneyness checks for FX options, swaptions and other derivative payoffs.
- Support collateral teams by validating valuations and resolving disputes.4. P&L and Risk Support
- Check intraday and EOD P&L impacts, trade amendments, lifecycle events and valuation changes.
- Validate Greeks and risk changes using tools such as Risk Viewer, Opal/Brisk and Bloomberg.
- Reconcile delta, decay, market data changes and portfolio movements.5. Confirmations, Clearing & Regulatory Controls
- Chase unaffirmed trades, manage paper/PDF confirmations for non‑MarkitWire products.
- Ensure all clearing‑eligible trades are sent to CCPs and resolve rejects.
- Check regulatory completeness (UTI/UPI, LEIs, counterpart details).6. Issue Resolution & Stakeholder Management
- Work closely with FO Traders, Structurers, Sales, BO Settlements, IT, Risk, Product Control and Legal.
- Respond to FO queries on booking, lifecycle events, mismatches and risk representation.
- Support client/counterparty issues and respond via Bloomberg/email channels.7. Process Improvement & UAT
- Supporting automation, dashboard creation, and workflow enhancements.
- Execute UAT for Murex, Markit Wire, market data changes and automation scripts.
- Maintain logs, KPIs and support daily MO huddles.Qualification & Experience
- 5–8 years' experience in OTC/ETD trade support or derivatives MO.
- Strong understanding of Murex, Markit Wire, Bloomberg, risk/P&L flows and lifecycle processing.
- Excellent FO communication skills and cross‑asset product knowledge.
Requirements
- •5-8 years experience in OTC/ETD trade support or derivatives MO.
- •Strong understanding of Murex.
- •Strong understanding of Markit Wire.
- •Strong understanding of Bloomberg.
- •Knowledge of risk/P&L flows.
- •Knowledge of lifecycle processing.
- •Excellent FO communication skills.
- •Cross-asset product knowledge.
Nice to Have
- •Product SME (Rates, FX, Derivatives, CMOD) experience.
- •Experience with automation, dashboard creation, and workflow enhancements.
- •UAT execution for Murex, Markit Wire, market data changes and automation scripts.
Responsibilities
- •Execute daily T0 control responsibilities across FX, OTC and exchange-traded derivatives.
- •Ensure accurate booking, confirmation, lifecycle management and risk/P&L integrity.
- •Support onboarding of sub-funds for NBFI and other strategic Clients.
- •Act as T0 Dealer Assist on rotation, triaging requests and ensuring SLAs are met.
- •Validate new trades across various derivative products.
- •Process rate fixings, option expiries, exercises, coupon processing, barriers, resets, amendments and restructures.
- •Support collateral teams by validating valuations and resolving disputes.
- •Check intraday and EOD P&L impacts, trade amendments, lifecycle events and valuation changes.
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Stop — Check First
- Check your resume before FAB Bank rejects it
- Get AI-rewritten bullet points
- Download Gulf-ready CV
60 seconds. $5.88 one-time.
Benefits Package
🏠Housing
✈️Flights
🏥Medical
🎓Education
🚗Transport
💰Gratuity
🎯Bonus
📦Relocation
GCC Info
Company
FAB Bank
5000+ employees
FAB Bank (First Abu Dhabi Bank) is the UAE's largest bank and one of the world's largest and safest financial institutions. It offers a wide array of financial services.
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