Job Description
Job Description
& Requirements
The position supports local and global Operations, Control, and Client Communication-related functions for the cash and derivative markets.
Clearing Operations – Daily reconciliation of trades, positions and settlements for local and global affiliates. There will be an emphasis on European markets—handling local depository functions. Proxy Support – Functional support for proxy-related functions for North American markets, including reconciliation of record date positions and managing client requests related to voting and material distribution Financial Control – Daily reconciliation of settlements, corporate actions, dividends, stock loans, etc., against the Firm's external clearing banks, emphasizing settlements for local and Asia/Pacific markets. Asset Transfers – You should be familiar with asset transfers, standard settlement instructions and terms like a clearing house, BIC code, ISIN, etc. Company Benefits & Perks:
Competitive salary package Performance-based annual bonus (cash and stocks) Hybrid working model (3 days office/week) Group Medical & Life Insurance Modern offices with free amenities & fully stocked cafeterias Monthly food card & company-paid snacks Hardship/shift allowance with company-provided pickup & drop facility* Attractive employee referral bonus Frequent company-sponsored team-building events and outings * Depending upon the shifts.
**The benefits package is subject to change at the management's discretion.
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