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Tier-1 brand and metro location increase applicant density despite specialized cash/settlements skills.
Role requires hedge fund operations, SWIFT and settlement domain expertise, limiting cross-industry transferability.
Explicit 6+ years, mandatory financial products, AML and SWIFT experience create stringent screening filters.
Manage daily processing of client cash flow requests including AML checks, approvals, payment executions, and cash transaction postings.
Oversee daily trade processing and settlements, resolve cash breaks and wire payment issues, and coordinate SWIFT connectivity with banks and custodians.
Assist in developing scalable, controlled cash processing workflows, communicate with IT for system enhancements, and handle account implementations and ad-hoc projects.
Minimum 6+ years experience in financial services, preferably with hedge funds, investment management, or financial services involving P&L, price verification, and risk.
Bachelor's degree in Accounting, Finance, or quantitative discipline; Master's degree is a plus.
Strong knowledge of FX markets, SWIFT, financial products including Equities, Credit, Derivatives, TRS, REPO, OTC & FX Options, CDS, synthetic CDOs, MBS, Bank Debt, Bonds, and Convertible Securities.
Proficiency in Excel (advanced, VBA a plus), MS Word, and Office tools; excellent English communication skills.
Experienced operations professional familiar with back office settlements, cash functions, and complex financial instruments in a hedge fund or asset management context.
Detail-oriented, able to manage multiple simultaneous tasks/projects with minimal supervision and demonstrate strong follow-through.
Capable of effective cross-functional communication with IT, clients, and global relationship managers to drive process improvements and issue resolution.