Operations Clearance, Settlement, & Trading Operations - Associate 2
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Job Description
Structured overview of role & requirementsAbout This Role
Prepare and review client financial statements, regulatory forms, and related deliverables ensuring accuracy and timely completion.
Provide on-the-job training, coaching, and performance feedback to team members; oversee workflow and short-term project deliverables.
Manage risk by enforcing SOPs and controls, coordinate across global teams including offshore partners, and lead ad-hoc projects and operational process improvements.
Minimum Requirements
Bachelor’s Degree in Commerce/Economics or equivalent; CA/CPA/ACCA or similar professional qualification preferred.
2+ to 4+ years of experience in Fund Financial Reporting, accounting, or related finance field preferred.
Willingness to work shifts that overlap with US, APAC, and EMEA hours for global coordination.
Strong technology skills, analytical/problem solving ability required.
Ideal Candidate Profile
Experienced in fund accounting with ability to manage end-to-end financial reporting deliverables under tight deadlines.
Demonstrated leadership within teams, capable of training and managing junior staff as well as coordinating with offshore partners.
Comfortable working in a global, cross-time-zone operations environment requiring collaboration and process management skills.
