Responsibilities
- Process and confirm trades, ensuring accurate settlement and compliance with regulations.
- Promptly resolve trade adjustments and address any settlement issues that may arise.
- Support treasury and collateral management, including GSCC margin call reviews and collateralization processes.
- Communicate account activity and updates to internal teams and external clients, maintaining clear and concise records.
- Balance and reconcile cash positions daily, ensuring accuracy and integrity of financial data.
- Process tri-party transactions efficiently, managing collateral and maintaining strong relationships with counterparties.
- Receive and deliver US securities, maintaining accurate records and ensuring timely settlement.
- Adjust repurchase positions by managing bucket adjustments and optimizing collateral usage.
- Collaborate closely with the Middle Office to identify and address any discrepancies or exceptions.
- Stay updated on industry trends, regulations, and best practices to enhance settlement processes and mitigate risks.
Qualifications
- Bachelor's degree in Finance, Business, Economics, or a related field is required.
- A minimum of 10 years of experience in a financial firm, with a strong background in fixed income is preferred.
- Excellent Microsoft Office skills, particularly advanced Excel proficiency, are essential.
- Strong analytical skills and the ability to exercise sound business judgment in decision-making.
- Self-motivated and intellectually curious, with a problem-solving mindset and a willingness to learn.
- Effective communication skills, both verbal and written, to collaborate with internal teams and external clients.
- Ability to work independently and thrive in a collaborative team environment.
- Comfortable in a fast-paced, dynamic work setting, with a track record of managing multiple priorities.
- Eagerness to adapt to new challenges and a commitment to continuous professional development.
- An MBA or graduate degree in a relevant field is highly advantageous.
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