Job Overview:In this role, you'll help ensure that transactions across a variety of products — from equities and bonds to repos, securities lending, and loan trades — are processed accurately and efficiently. You'll work closely with front‐office teams and operational partners to keep workflows running smoothly and risks tightly controlled.Daily Tasks:Acting as a key operational partner to Sales & Trading, ensuring trades are captured correctly and processed end‐to‐end without issues. Reviewing, allocating, and validating trades so they flow properly into downstream systems. Managing trade confirmations and matching across multiple platforms, quickly addressing any breaks or mismatches. Running reconciliations and handling exceptions to maintain data accuracy and reduce operational risk. Supporting client‐related processes such as onboarding, documentation checks, and reference data updates. Overseeing collateral movements, including posting, monitoring, and withdrawals. Handling high daily trade volumes with precision and within tight cut‐offs. Collaborating with traders, sales teams, clients, legal, and operations to resolve trade‐related queries and ensure timely settlement. Contributing to automation efforts and helping streamline existing processes. Participating in operational reviews and helping build scalable, efficient workflows.Soft SKillsStrong teamwork and communication High attention to detail Client‐focused mindset Ability to deliver under pressure Solid analytical thinking and problem‐solving Understanding of middle‐office processes and trade support operationsLanguagesEnglish - FluentBackground0–2 years of experience in banking or financial operations Bachelor's degree in Economics, Finance, Accounting, or a related field