Summary
Overview
Work History
Education
Skills
Accomplishments
Websites
Timeline
Generic
Sneha Singh

Sneha Singh

Mira Road East

Summary

Reliable Manager demonstrating high level of ownership and initiative. Possessing exceptional work ethic and desire to go above and beyond to exceed company expectations. Offering knack for building productive working relationships. Successful in fast-paced, deadline-driven environments to manage goals and team development. History of thriving in team-oriented environments.

Overview

10
10
years of professional experience

Work History

Manager

JP Morgan Asset Management
10.2018 - Current
  • Managing the team and handling escalations, working on automation projects to make processes more efficient and less manual.
  • Providing training to new joiners and team members on the processes performed within the team, and assisting in understanding workflow and business goals.
  • Attending weekly stakeholders' calls, cheering daily internal calls to highlight aged breaks, and discuss resolutions on the BAU, projects, and KPI.
  • Ensured accurate trade confirmations for IRS, CDS, FXO, NDF, EQ Options, and TRS.
  • Oversee risk activities, promoting a culture focused on minimizing errors.
  • Updated standard operating procedures (SOPs) to reflect current practices consistently.
  • Assisted with internal and external audits to maintain compliance standards.
  • Managed daily variation margin (ETD and OTC) exchanges across multiple accounts efficiently.
  • Liaised with brokers and traders to resolve booking discrepancies promptly.
  • Created macros to automate processes, reducing manual errors significantly.
  • Contributed to migration processes by coordinating with technical teams for smooth transitions.
  • Basic understanding of Alteryx, Python, and other AI tools.
  • Managed client relationships, ensuring effective communication and addressing inquiries promptly.
  • Client onboarding on different trading platforms, like DTCC, MW, ICE, and CME, to ensure smooth trading for traders.

Senior Associate

SS&C and Globeop
11.2017 - 09.2018
  • Confirmation, Trade Capture, and Reconciliation: Ensuring that OTC trades are accurately captured, confirmed, and reconciled for hedge fund clients.
  • Monitoring Economics via Reconciliation: Comparing and reconciling trade details between clients and counterparties, as well as between clients and SS&C (a financial services software provider).
  • Reconciliation of OTC Products: Handling the reconciliation process for various OTC products, including Credit Default Swaps (CDS), Interest Rate Swaps (IRS), Swaptions, and Foreign Exchange Options (FXO).
  • Trade Review and Affirmation: Reviewing trades affirmed by team members, whether manually or through electronic platforms like DTCC and MarkitWire (SwapsWire).
  • Timely Escalation of Critical Issues: Promptly escalating any critical issues to ensure they are addressed in a timely manner.

Nomura Services India Pvt Ltd
10.2015 - 10.2017
  • ADR/JDR Conversion and Switches: Overseeing the conversion and switching processes for ADRs and JDRs, ensuring they are executed accurately and efficiently.
  • Prime Broker Role: Acting as a prime broker for clients, facilitating their trading and settlement activities.
  • Settlement of ADRs/JDRs and Switches: Ensuring that all ADRs, JDRs, and switches are settled by instructing the necessary trades.
  • Liaison for Discrepancies: Coordinating with conversion agents, custodians, and middle office teams to resolve any discrepancies in trade bookings.
  • Cross-Border Settlements: Managing and overseeing cross-border trade settlements booked by clients.
  • Discrepancy Resolution: Interacting with internal teams (traders, middle offices, settlement teams) and external parties (counterparties, agents, custodians) to investigate and resolve position discrepancies.
  • Breaks Management: Addressing breaks that arise from differences between custody records and internal postings.
  • KRI and MIS Reporting: Preparing Key Risk Indicator (KRI) reports and Management Information System (MIS) reports on a weekly basis to track and manage risks and performance.
  • Asset Servicing for Bond Conversion: Managing the conversion of bonds from 144A (restricted) to REGS (unrestricted) and vice versa, including liaising with custodians, transfer agents, and middle office teams.

Education

Certified Investment Banking Operations Professional - Securities and Derivatives

Imarticus
Mumbai, India
01.2014

LLB -

Rizvi Law College
Mumbai, India
01.2013

Bachelor of Management Studies (BMS) -

Lala Lajpatrai College of Commerce & Economics
Mumbai, India
01.2011

Skills

  • Trade confirmation
  • Risk management
  • Compliance standards
  • Trade reconciliation
  • Process automation
  • Management reporting
  • Team training
  • Effective communication
  • Attention to detail
  • Problem solving
  • Time management
  • Issue resolution
  • Staff training and development
  • Recruiting and interviewing
  • Team leadership
  • Key performance indicators

Accomplishments

  • Successfully led the LIBOR to SOFR conversion project, earning a spot award for outstanding performance.
  • Actively contributed to automation projects, like NDF Fixing and Osstra Migration
  • Spearheaded trade flow automation for the matching platform
  • Multiple monthly recognition awards for process automation and working under tight deadlines with a short staff
  • Automated KPIs, margin reconciliation, and trade confirmation using IA tools
  • Recognized for optimizing STP flow of swaptions trades

Timeline

Manager

JP Morgan Asset Management
10.2018 - Current

Senior Associate

SS&C and Globeop
11.2017 - 09.2018

Nomura Services India Pvt Ltd
10.2015 - 10.2017

Certified Investment Banking Operations Professional - Securities and Derivatives

Imarticus

LLB -

Rizvi Law College

Bachelor of Management Studies (BMS) -

Lala Lajpatrai College of Commerce & Economics
Sneha Singh