Equities Post Trade Settlements Analyst
London, South East, England, United Kingdom
Venn Group
on time, and in line with internal procedures. The sccuesful candidate will supervise BAU activities and team responsibilities, monitoring progress, taking corrective action when needed, and escalating issues to management as appropriate. They will be expected to ensure accuracy through 4-eye checks and other key risk controls, including oversight of group mailboxes, query resolution, and checklist completion. Lead … including: Equity post-trade settlementPrimary Issuance Programmes for ECM Stock loan processing Break resolution (cash and stock) Sanction screening Trade pre-matching and exception handling Fails and conversion processing Collateral management Sensitive client trade monitoring Key Responsibilities & Accountabilities Reports directly to the Section Supervisor and Section Head. Collaborates closely with Operations, Front and Middle Office, Compliance, Audit, Finance … Interfaces with external stakeholders including clients, market counterparties, settlement agents, agent banks, and central securities depositories. Ensure timely and accurate processing of Equity Post Trade Services , including settlements and collateral management. Troubleshoot and resolve routine operational issues, escalating complex matters as needed. Maintain effective stakeholder relationships to uphold service standards and facilitate issue resolution. Provide regular reporting to management More ❯
Employment Type: Contractor
Rate: £300 - £350 per day
Posted: