Middle Office Analyst
CHARLOTTE, ,
Accounting / Finance
Contract, Contract
$53.09 - $58.18
On-site
Other/Non Classified
CHARLOTTE, ,
$53.09 - $58.18
Contract, Contract
Other/Non Classified
On-site
Accounting / Finance
Job details
Outstanding long-term contract opportunity! A well-known Financial Services Company is looking for a Middle Office Analyst in Charlotte, NC (Hybrid).
Work with the brightest minds at one of the largest financial institutions in the world. This is a long-term contract opportunity that includes a competitive benefit package! Our client has been around for over 150 years and is continuously innovating in today’s digital age. If you want to work for a company that is not only a household name, but also truly cares about satisfying customers’ financial needs and helping people succeed financially, apply today.
Contract Duration: 12 Months
Required Skills & Experience
- 4+ years of Business Execution, Implementation, or Strategic Planning experience, or equivalent demonstrated through one or a combination of the following: work or consulting experience, training, military experience, education.
- Master’s in finance strongly preferred (programs with Derivatives, Quantitative Finance, Financial
- Engineering, or Mathematical Finance coursework).
- Candidates directly out of school or early in their career are encouraged to apply.
- Excel expertise (must be robust) – strong formulas, lookups, pivot tables, and ability to manipulate large datasets.
- Strong quantitative comfort; ability to interpret data statistically.
- Understanding of valuation, pricing, and market risk concepts.
- Ability to explain and work with Greeks (Delta, Gamma, Vega, Theta, Rho) and derivative fundamentals.
Desired Skills & Experience
- Preferred Coursework
- Highlighting these on the resume is recommended:
- Derivatives
- Options & Futures
- Fixed Income
- Financial Modeling
- Risk Management
- Quantitative Methods
- Statistics / Probability
- Financial Econometrics
- Integration- and calculus-heavy finance courses
- Cross asset valuation or trading coursework
- Preferred Background
- Middle Office
- Product Control
- Risk Analyst roles
- Strong financial education with derivative exposure
What You Will Be Doing
- Consult on or participate in moderately complex initiatives and deliverables within Business Execution and contribute to large-scale planning related to Business Execution deliverables.
- Review and analyze moderately complex Business Execution challenges that require an in-depth evaluation of variable factors.
- Contribute to the resolution of moderately complex issues and consult with others to meet Business Execution deliverables while leveraging solid understanding of the function, policies, procedures, and compliance requirements.
- Collaborate with client personnel in Business Execution.
- Middle Office & Product Control Support
- Perform daily P&L and Risk production aligned with Middle Office responsibilities (functions that may sit in Product Control at other banks).
- Conduct back-to-front reconciliations to ensure accuracy across trading, risk, and operations systems.
- Support the PLA (P&L Attribution) process and related product control workflows.
- Validate and analyze trading desk activity across cross asset products.
- Investigate breaks, discrepancies, and valuation differences.
- Provide analytical support for risk measures and financial reporting.