Job Description
We are working with a global consultancy client to support a project to define and deliver a new target operating model for the fixed income clearing organisation. This is driven by the US Treasuries Clearing regulation (SEC UST) expected in 2026/27, so we are looking for an expert in the clearing of Treasuries, Repos, and other cash fixed income products in an operational and regulatory context.
This assignment, given the lead time, will involve all aspects of preparing the ground for the new process and associated impacts, including internal stakeholder education, gap analysis, and external client consultation. The work will result in internal process changes and the development of a new external product offering. Therefore, it is critically important that candidates have deep expertise in the execution, clearing, settlement, and risk management of cash Treasuries.
Initial contract duration is 6 months with an early September start.
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