Job Description

 

 

 

  • An absolute focus on risk controls.  The teams will be responsible for reconciling and accurately representing traders’ positions.  The tolerance for error or delay is very low to zero.
  • Ensure timely, accurate, and complete communications between the Mumbai team and trade support groups and other operations/finance/IT/business teams in the various offices
  • Learn client’s businesses, organization, procedures, controls, systems, and staff management practices, as rapidly and thoroughly as possible
  • Improve business processes to strengthen controls, communications, and improve efficiency

Skills required (essential)

 

 

 

 

  • Experience with institutional equity trade support or settlements, preferably from a major global institution
  • Product and operational knowledge in global cash equities (primarily), corporate actions, FX, listed derivatives, commodities, bonds, loans, swaps, derivatives, principal investments
  • Risk awareness, willingness and propensity to probe, question, and escalate
  • Process documentation
  • Excellent communication skills including fluent spoken and written English required
  • High computer literacy required, moderate to high expertise with Excel (including creating macros) desired
  • Organizational skills
  • Excellent attention to detail, problem solving skills and excellent judgment
  • Takes ownership of issues is methodical and ensures resolution
  • Has proven ability to interact with multiple internal and external functions

 

 

1.Years of exp 0-2 years

2.Contract duration 1 year

3.Location- Mumbai

4.WFO/Hybrid hybrid

5.Shift timing 8:30am to 6:30pm or 1:30pm to 11:30pm

6.Must have skillset - Knowledge on Cash Equity Product, Trade life cycle of an Equity and Corporate Action event. Reconciliation experience, MS Office, Fluent in communication

7.Good to have skillset - Automation mindset, Challenging the status quo