Workplace Solutions - Trading Specialist, Sr. Associate (Maker/Checker), Malta

JPMorganChase·Oracle Recruiting
St Julians, MaltaFull-timePosted Jul 1, 2026
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The Trading Specialist (Associate) supports the Malta entity’s order receipt and transmission activities linked to share plan administration, with a focus on controlled trade processing and accurate, timely regulatory reporting and recordkeeping aligned to MFSA expectations and applicable EU requirements (including MiFID II-related obligations).

 

Key Responsibilities

Trade Processing (Order Receipt & Transmission)

  • Perform maker activities: receive, validate, and capture client equity orders; confirm required order details and cut-offs; transmit orders to executing brokers within SLA.
  • Perform checker activities: verify maker inputs, approvals, timeliness, and completeness; confirm orders transmitted match instructions and required controls are evidenced.
  • Execute daily controls (e.g., completeness, accuracy, timeliness, duplicate detection, exception checks) and retain audit-ready evidence.
  • Manage and resolve exceptions (rejected orders, mismatches, late transmissions), coordinating with brokers/internal teams and escalating per runbook.

Regulatory Reporting & Recordkeeping (Trading-Related)

  • Produce and/or support required regulatory reports relating to trading activity, ensuring data quality, reconciliations, and timely submission.
  • Maintain complete trading records (order logs, approvals, broker acknowledgements, exception logs, control evidence) in line with retention standards.
  • Support regulatory/audit requests by compiling evidence packs, completing process walkthrough documentation, and responding to information requests within deadlines.

Controls, Risk & Issue Management

  • Identify control breaks, errors, and near-misses; log incidents, support root-cause analysis, and track remediation actions to closure.
  • Contribute to periodic control testing/assurance activities for trading processes (e.g., sample checks, evidence reviews).
  • Support complaints or conduct-related queries by providing factual trading/process evidence where relevant.

Broker / Vendor Operational Coordination

  • Act as a day-to-day contact for executing brokers on order queries, rejects, and operational incident coordination.
  • Track broker service performance against SLAs (e.g., response times, reject rates), produce basic MI, and escalate recurring issues.

 

 

Documentation & Continuous Improvement

  • Maintain and improve desk procedures/runbooks, checklists, and process maps for maker/checker workflows and regulatory reporting steps.
  • Propose incremental process/control improvements to reduce errors and improve timeliness and transparency.

Key Deliverables

  • Accurate, timely order receipt and transmission within SLA using the maker/checker model.
  • Completed checker sign-offs and control evidence that is timely, complete, and audit-ready.
  • Regulatory reporting deliverables submitted accurately and on schedule with traceable, reconciled support.
  • Exceptions/incidents documented promptly with clear remediation tracking to closure.
  • Current procedures/runbooks and reporting calendars maintained for trading operations.

Skills & Experience Required

  • Experience in trading operations, brokerage operations, order management, or closely related reporting/control roles (equities preferred).
  • Strong control mindset and disciplined documentation experience in a maker/checker framework.
  • Familiarity with MiFID II concepts relevant to order handling and recordkeeping.
  • Strong attention to detail, ability to work to cut-offs, and structured escalation/issue resolution.
  • Proficiency in spreadsheets and handling reconciled outputs.
  • Clear communication skills with internal stakeholders and executing brokers.

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