Position Overview
Jobs Responsibilities
- Process end-to-end securities transfer requests; ensure accuracy and adherence to client mandates and procedures
- Liaise with Front Office, internal teams, custodians and counterparties for timely execution and issue resolution
- Monitor and resolve failed or delayed transfers within agreed timelines
- Perform daily reconciliation of stock and cash breaks; investigate and resolve discrepancies
- Conduct end-of-day controls, RCSA checks, and ensure proper handling of exceptions
- Manage stakeholder queries and support process improvements, UAT and operational projects
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