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GM

G MASS

via Workable

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Derivatives Senior Analyst

Anywhere
Contract
Posted 12/15/2025
Direct Apply
Key Skills:
Regulatory Compliance
Derivatives Trading
Analytical Skills
Problem-Solving
Client Management
Project Management
Financial Services
KYC
Attention to Detail
Communication Skills
Operational Efficiency
Process Improvement
Cross-Functional Coordination
Risk Management
Microsoft Office
Excel Skills

Compensation

Salary Range

$Not specified

Responsibilities

The role involves managing multiple client deliverables, ensuring accuracy and timeliness while coordinating with internal teams and vendors. Additionally, it requires building strong client relationships and supporting clients in navigating regulatory requirements.

Requirements

Candidates should have 1-3 years of experience in a regulatory, compliance, or operational role within financial services, with exposure to derivatives trading. Strong analytical skills, attention to detail, and proficiency in Microsoft Office, particularly Excel, are also required.

Full Description

Our client's group delivers best-in-class technology and industry best practices to help firms manage risk, comply with regulation and meet evolving regulatory requirements. Their Networks solutions provide a single, trusted source of accurate and up-to-date customer and vendor data, enabling clients to reduce costs, reuse information and streamline processes through robust risk and compliance coverage. This role sits at the intersection of derivatives, regulatory compliance and technology. You will work closely with clients to solve complex regulatory challenges, leveraging proprietary platforms to improve operational efficiency and reduce risk. It is a client-facing, delivery-focused position within a fast-growing and collaborative team. Key Responsibilities Manage multiple client deliverables concurrently, ensuring accuracy and timeliness Assess scope of work and project plans, identifying opportunities for process improvement Coordinate with cross-functional internal teams and third-party vendors Prepare project trackers and lead client meetings, providing clear updates on progress, milestones, and risks Identify and resolve gaps in processes and execution Build and maintain strong relationships with clients, business partners and internal stakeholders Interpret financial, legal entity and regulatory documentation across multiple domains Develop deep expertise in proprietary products and client business models Support clients in navigating new regulatory requirements and implementing new workflows Experience in a regulatory, compliance or operational role within financial services (typically 1–3 years) Exposure to derivatives trading or derivatives-related processes Familiarity with KYC and constitutional documentation, including onboarding Strong analytical and problem-solving skills with a process-driven mindset Proven ability to manage competing priorities in a fast-paced environment Clear, confident communication skills with the ability to present to clients Solid understanding of financial services firms and investment management operations High attention to detail with a strong focus on quality and control Collaborative working style across senior and junior stakeholders Proficiency in Microsoft Office, with strong Excel skills preferred Paying up to $52,000 per annum / $26.00 per hour (W2). 12-month contract.

This job posting was last updated on 12/16/2025

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