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Job Description
Structured overview of role & requirementsAbout This Role
Support low complexity lifecycle tasks within Securities Operations and identify process improvement opportunities.
Resolve basic or tactical issues related to securities trade environment under manager direction within defined parameters.
Build expertise in operational processes including client onboarding, cash payments, custodial operations, settlement services, and reconciliation, and assist with data gathering and analysis for operational tasks.
Minimum Requirements
At least 6 months of Securities Operations experience or equivalent (work experience, training, military, or education).
Minimum 3+ years of Trade Settlements experience with strong understanding of trade lifecycle, settlements, reconciliation, and exception management.
Experience or knowledge in trade settlements involving Equity, Fixed Income, FX, Mutual Funds, or other financial products.
Work Experience Required: See above (minimum 6 months securities operations and 3+ years trade settlements). Notice period: Not explicitly mentioned in the JD.
Ideal Candidate Profile
Experienced in end-to-end trade lifecycle within Trade Settlements Operations, including domestic and/or international settlements.
Capable of managing trade settlement exceptions, failed trades, unmatched trades (DKs), and break resolution.
Able to apply operational knowledge to enhance customer satisfaction, implement process improvements, and support compliance and risk obligations in securities operations.
