Role Purpose
We’re looking for someone like that to:
- monitor settlement transaction to ensure timely settlement incl. pre-matching and cancel and rebook transactions
- place manual settlement and / or transfer instructions, affirm broker confirmations and handle broker enquiries
- systematically chase and resolve pending transfers/ settlements, differences and breaks (cash and security)
- manage trade processing and lifecycle events, ensuring trade Confirmations are dispatched to clients and lifecycle events are booked accordingly
- administrate our securities settlement static data and standard settlement instructions (SSI) reference table
- collaborate with interface partners as part of efficiency improvements and improve processes continuously
- process and send notification on corporate actions events for structured products