Post-Trade Operations Analyst (Clearing & Settlement) Acts as the first point of contact for clients, brokers and CCPs regarding trade allocation and clearing queries Monitors trade flow on a T+0 basis, ensuring timely booking and Straight-Through Processing (STP) execution Follows up pending trades and proactively engages with brokers and counterparties to ensure all trades are correctly booked on trade date Performs reconciliation between internal systems and external exchanges/market data sources Identifies, assesses and escalates operational risks within the trade lifecycle process Manages trade exercises and close-out processes as required by clients or market events Participates in operational and system enhancement projects (market releases, tool improvements, process automation) Ensures clear and effective communication between front-to-back office teams and external counterparties #J-18808-Ljbffr