Job Description
Job Summary: We are looking for a detail-oriented Reconciliation Analyst - Fixed Income to manage post-trade and middle-office activities across multiple asset classes, including Fixed Income, Equities, Derivatives, and Alternatives. The role involves trade lifecycle management, reconciliations, settlement monitoring, Trade support, and stakeholder coordination to ensure accurate and efficient fund operations.
Key Responsibilities:
- Manage the end-to-end trade lifecycle from execution to settlement across Fixed Income instruments including T-Bills, Bonds, and other fixed income securities.
- Perform daily cash and position reconciliations with custodians, fund administrators, and prime brokers.
- Monitor and resolve trade settlement issues across global markets.
- Process corporate actions, dividends, coupon payments, interest income, and maturity settlements for T-Bills and Bonds accurately and on time.
- Prepare and review P&L, exposure, compliance, and risk report...
Key Responsibilities:
- Manage the end-to-end trade lifecycle from execution to settlement across Fixed Income instruments including T-Bills, Bonds, and other fixed income securities.
- Perform daily cash and position reconciliations with custodians, fund administrators, and prime brokers.
- Monitor and resolve trade settlement issues across global markets.
- Process corporate actions, dividends, coupon payments, interest income, and maturity settlements for T-Bills and Bonds accurately and on time.
- Prepare and review P&L, exposure, compliance, and risk report...
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