

Dynamic Financial Analyst with a proven track record at Northern Trust, excelling in end-to-end trade lifecycle management and exception resolution. Adept at utilizing advanced software for accurate trade bookings while fostering team collaboration and knowledge sharing. Committed to process improvements, ensuring compliance, and enhancing operational efficiency.
· Timely and accurate booking of new trades and Lifecycle events across multiple asset classes such as Swaps (IRS, CDS, TRS, Swaptions) & Options (FXOs, Equity Options, Exotic Options such as Dual Digital Options, Barrier Options, Binary Options, etc.) to meet client cutoffs.
· Utilized various software such as Omnium, ERAM, DDM, and Fundmaster to book the trades into the system.
· Performed end-to-end trade lifecycle management including novations, amendments, cancellations, expiries and resets.
· Worked on reconciliation activities at both the Company and Client level to identify and resolve any issues about Trade bookings.
· Worked on mailbox management to track queries and bookings.
· Worked on Queries arising from both External and Internal Stakeholders to resolve any discrepancies or provide additional information.
· Ensured compliance with various operational controls, SLAs and audit requirements including error log documentation and timely completion of daily checklists.
· Trained junior analysts (A1s) and new hires on trade bookings, product structures, exception handling, flow down checks, etc.
· Suggested and worked towards process improvements by reducing manual intervention and operational risk.
· Actively participated in various organizational and department-wide co-curricular activities alongside core responsibilities.