





Tier-1 employer, metro location, common mid-level finance operations role increases applicant density.
Role requires securities settlement expertise specific to financial services, limiting cross-industry transferability.
Domain-specific settlement experience and qualifications preferred, but no strict years requirement.
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Support end-to-end trade settlement lifecycle for Equity and Fixed Income products across global markets, ensuring timely and accurate settlement.
Investigate settlement exceptions, manage fails reduction, process buy-ins and penalties, and perform reconciliations and root cause analyses.
Coordinate with internal and external stakeholders, handle settlement queries and escalations, maintain audit trails, and support compliance and audits.
Bachelor’s degree in commerce, economics, Business, Accounting, Finance, or equivalent preferred.
Professional qualification such as CA, CPA, ACCA or similar preferred.
Experience Required: Not explicitly mentioned in the JD.
Candidates must be willing to work shifts overlapping US, APAC, and EMEA hours.
Familiarity with securities trade lifecycle, settlement processes, and operational workflows in Investment Banking Operations.
Strong analytical skills with ability to investigate and resolve settlement breaks, manage operational risk, and perform reconciliations and root cause analysis.
Comfortable working under tight deadlines across a fast-paced global market environment with multiple stakeholders.