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Senior Analyst, Middle Office

Job in Baltimore, Anne Arundel County, Maryland, 21276, USA
Listing for: T. Rowe Price
Full Time position
Listed on 2026-06-30
Job specializations:
  • Finance & Banking
    Risk Manager/Analyst, Financial Analyst
  • Business
    Risk Manager/Analyst, Financial Analyst
Salary/Wage Range or Industry Benchmark: 85000 - 105000 USD Yearly USD 85000.00 105000.00 YEAR
Job Description & How to Apply Below

About the Team

The Global Middle Office teams, based in Baltimore, Colorado Springs, London, Hong Kong, and Singapore, manage investments through the trade lifecycle and oversee record keeping, working closely with our service providers. This role will be based in the US working closely with the other Middle Office associates as part of a 50+ Middle Office team. The team focuses on activities including, trade support for all products including equity, fixed income, derivatives, Collateral and margin processing, securities lending and cash services, securities and account setup and maintenance, control, and risk oversight.

The Global Middle Office team is comprised of four distinct teams supporting the scope of T. Rowe Price products and services including:

  • Trade Management – Supporting all trade management functions for Equity, Fixed Income, Derivatives, and Bank Loan Trades including margin services and onboarding support.
  • Distribution and Funding – Supporting our private equity receipts/distribution management service, including cash management and securities lending.
  • Reference Data Services – Providing support for security, account, broker, and derivatives reference data services.
  • Risk and Controls – Provide oversight support for Investment Book of Record (IBOR) accuracy and risk initiatives to streamline operational processes.
Role Summary

Leads the oversight of trade management responsibilities for Middle Operations and associated tasks. Utilizes technical and operational knowledge to resolve complex operating and accounting issues that often involve multiple internal groups or external parties. Responsible for facilitating front to back Operations process of the investment trade lifecycle, including working with traders on booking through to final settlement, and facilitate issue resolution across teams.

Manages relationships with third-party vendors. Works with the team in developing operational goals that are aligned with functional strategy. Identifies, drives, and implements process improvement initiatives with a critical focus on risk, control, and scalability.

Responsibilities
  • Directs a broad range of trade management and portfolio services activities enabled by an internal control environment that produces industry-leading accuracy and timeliness.
  • Leverages Middle Office and trade support expertise, and knowledge of the broader industry environment and client account trends to optimize operations and lead/execute changes in processes, protocols, and/or technologies to support an improved client experience.
  • Navigates and resolves complex situations and ensures alignment with Senior Management’s priorities; negotiates and facilitates a resolution to significant operational roadblocks, leveraging established relationships with key stakeholders and other regions.
  • Manages relationships with third-party providers, ensuring quality and performance standards are met and holding them accountable to established service-level agreements. Provides recommendations on the selection of third-party providers. Oversees large-scale transitions to the end-state infrastructure of outsourced providers.
  • Demonstrates excellent communication and problem-solving skills to work independently and provide solutions to clients, third-party vendors, and internal team inquiries.
  • Manages processes and provides guidance to teams on the implementation of new policies to follow regulations. Supports a world-class portfolio services internal control environment that produces industry leading accuracy and timeliness. Develops and leads cross-departmental and cross-divisional initiatives designed to improve accuracy, generate efficiencies, and reduce risk.
  • Following established controls, checks and validates third-party reconciliations; provides feedback on third-party performance and quality to management. Works with clients and internal stakeholders to prepare account outsourcing plans; stewards account transition process to the end-state infrastructure of outsourced providers.
  • Analyzes report metrics and develops recommendations to address deficiencies.
Qualifications

Required:

  • Bachelor's degree or the equivalent combination of…
Position Requirements
10+ Years work experience
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