Responsible for management of derivative positions (futures, swap, options, currency forwards, non-deliverable forwards, short selling), including trade confirmation (novation support), trade communication, three-way position reconciliation, daily mark-to-market calculation and analysis, collateral management, internal asset segregation, credit event management, cash movements, resets and reporting. Responsible for global and domestic settlement management, including electronic trade date confirmation, web-based settlement instructions management, resolution of unmatched market trades, repurchase agreement collateral management, currency netting, fail trade tracking, resolution and reporting and claims management.