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 SKills
* Strong 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 operations
Languages
* English - Fluent
Background
* 0–2 years of experience in banking or financial operations
* Bachelor's degree in Economics, Finance, Accounting, or a related field