for both 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. Proxy Support functional support for proxy-related functions for North American markets, including reconciliation of record date positions and management of client requests related to voting and material distribution.
Financial Control daily reconciliation of settlements, corporate actions, dividends, stock loan, etc.; against the Firms external clearing banks.
There will be an emphasis on settlements for both local and Asia / Pacific markets. Local Market (NSE) handling of depository functions (National Securities Depository Limited) along with other local market reconciliation functions.
Qualifications Bachelor's degree in Finance, Economics or Mathematics preferred. Strong problem solving and analytical skills.
Strong organizational skills. High degree of comfort and fluency with computers and technology, and understanding of how technology is applied to business or an ability to develop this rapidly.
Logical approach to problem solving. Detailed oriented with excellent maths skills. Ability to efficiently handle multiple tasks with minimal supervision.
Self-Motivated and energetic. Professional demeanour and strong communications skills. Intermediate level of proficiency in MS Excel and Access.
Ability to work in a small-team environment.