Options Control Analyst
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Options Control Analyst | Toronto
Monex is a leading global financial solutions provider, offering a complete set of tools to support business growth and strategic financial operations. We specialize in FX risk management and international payments, helping corporate and institutional clients design tailored FX solutions to navigate currency volatility with confidence. Our team of FX specialists implement well-considered currency strategies, offering dedicated support to help clients manage their payment needs, whether for goods, services, or direct investments. In 2025, Monex facilitated $198 billion in FX turnover and managed $16.1 billion in assets. With offices across North America (Canada, the US, and Mexico), Asia (Singapore), and Europe (the UK, Spain, and the Netherlands), we serve over 70,000 clients worldwide. By combining global reach with deep local market expertise, Monex enhances businesses with a suite of financial solutions and FX market analysis to help optimize efficiency, mitigate currency risk, and protect margins in an increasingly complex financial landscape.
Job Overview
The Options Control Analyst is responsible for executing critical operational controls across Monex's global structured FX options business, ensuring the accurate capture, validation, reconciliation, and lifecycle management of complex derivative transactions across Monex entities in the United States, Canada, Europe, the United Kingdom, and Singapore. This role serves as an independent operational control function within International Operations, acting as a formal four-eyes verification control over all option transactions entered into kACE (FENICS), with particular focus on structured products including Target Redemption Forwards (TARFs), barrier options, and other complex FX option structures. The role is responsible for first-level investigation of trade capture, reconciliation, and valuation discrepancies, ensuring timely identification, escalation, and resolution of exceptions, while enforcing globally consistent trade capture standards across all jurisdictions. In addition to daily control execution, this role plays a key part in operational enhancement initiatives across the options trade lifecycle, including trade capture workflows, client confirmation generation and delivery, mark-to-market reporting, and margin call notification processes.
Options Control Analyst | Toronto
Monex is a leading global financial solutions provider, offering a complete set of tools to support business growth and strategic financial operations. We specialize in FX risk management and international payments, helping corporate and institutional clients design tailored FX solutions to navigate currency volatility with confidence. Our team of FX specialists implement well-considered currency strategies, offering dedicated support to help clients manage their payment needs, whether for goods, services, or direct investments. In 2025, Monex facilitated $198 billion in FX turnover and managed $16.1 billion in assets. With offices across North America (Canada, the US, and Mexico), Asia (Singapore), and Europe (the UK, Spain, and the Netherlands), we serve over 70,000 clients worldwide. By combining global reach with deep local market expertise, Monex enhances businesses with a suite of financial solutions and FX market analysis to help optimize efficiency, mitigate currency risk, and protect margins in an increasingly complex financial landscape.
Job Overview
The Options Control Analyst is responsible for executing critical operational controls across Monex's global structured FX options business, ensuring the accurate capture, validation, reconciliation, and lifecycle management of complex derivative transactions across Monex entities in the United States, Canada, Europe, the United Kingdom, and Singapore. This role serves as an independent operational control function within International Operations, acting as a formal four-eyes verification control over all option transactions entered into kACE (FENICS), with particular focus on structured products including Target Redemption Forwards (TARFs), barrier options, and other complex FX option structures. The role is responsible for first-level investigation of trade capture, reconciliation, and valuation discrepancies, ensuring timely identification, escalation, and resolution of exceptions, while enforcing globally consistent trade capture standards across all jurisdictions. In addition to daily control execution, this role plays a key part in operational enhancement initiatives across the options trade lifecycle, including trade capture workflows, client confirmation generation and delivery, mark-to-market reporting, and margin call notification processes. This position reports directly to the International Head of Operations, with a longer-term reporting path into Treasury Operations leadership and opportunities for broader grow