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CADS Analyst

2coms


Job Location:

Hyderabad - India

Monthly Salary: INR 1200000 - 2000000
Posted: 4 October 2026 (Yesterday)
Application Deadline: 1 January 2027
Vacancies: 1 Vacancy

Job Summary

JD CADS Analyst Client & Account Data Services (SPE/SME)

Profile Summary

Looking for a Capital Markets operations professional with 47 years of experience to support Client & Account Data Services (CADS). The role covers data quality account onboarding and maintenance reconciliations SSI management corporate actions operational risk controls and global stakeholder coordination.



Educational Qualification


Bachelors degree in Commerce Finance Business Administration or a related discipline
MBA or relevant financial services certification is an added advantage
Knowledge of Capital Markets operations and the trade lifecycle is preferred

Expertise & Competencies



Strong understanding of client account reference and static data management
Knowledge of trading custody and settlement account setup processes
Experience in Standard Settlement Instructions (SSIs) and settlement operations
Strong analytical reconciliation and exception management skills
Understanding of operational risk controls payment controls and oversight
Effective stakeholder management across Front Office and Data Infrastructure teams
Ability to manage priorities in a high-volume deadline-driven environment
Strong written and verbal communication skills
Advanced Excel management information and reporting skills preferred

Work Experience


47 years in Capital Markets Investment Banking Asset Management or Financial Services Operations
Hands-on experience in account onboarding reference data SSI management or reconciliations
Knowledge of global settlement markets and post-trade operations preferred
Experience supporting global financial institutions investment banks or asset managers
Exposure to market data trading settlement or workflow platforms is advantageous

Role and Responsibilities / Job Description


Perform data quality reviews and maintain accurate complete client account and settlement data across systems and repositories
Manage end-to-end onboarding maintenance amendment and closure requests for trading custody and settlement accounts
Support the establishment of trading and settlement accounts ensuring documentation and setup requirements are completed on time
Perform reconciliations between trading systems and central data repositories; investigate and resolve breaks within agreed timelines
Track document and escalate exceptions identify root causes and drive corrective actions
Onboard validate set up and maintain Standard Settlement Instructions (SSIs) in line with market and control requirements
Coordinate SSI changes and settlement exceptions with Front Office Operations Custodians and Counterparties
Support corporate actions processing and validate client or account data impacted by market events
Perform payment and operational risk event controls oversight checks and breach reporting
Ensure adherence to internal controls audit evidence data governance and regulatory requirements
Partner with Front Office Trading Desks Operations and Data Infrastructure teams to resolve operational queries
Provide timely status updates participate in governance forums and maintain effective stakeholder relationships
Monitor service levels maintain process documentation and support continuous improvement or automation opportunities













Looking for a Capital Markets operations professional with 47 years of experience to support Client & Account Data Services (CADS). The role covers data quality account onboarding and maintenance reconciliations SSI management corporate actions operational risk controls and global stakeholder coordination.


Profile Summary



Profile Summary

Profile Summary

Profile Summary




Profile Summary





Required Skills:

Profile Summary Looking for a Capital Markets operations professional with 47 years of experience to support Client & Account Data Services (CADS). The role covers data quality account onboarding and maintenance reconciliations SSI management corporate actions operational risk controls and global stakeholder coordination. Educational Qualification Bachelors degree in Commerce Finance Business Administration or a related discipline MBA or relevant financial services certification is an added advantage Knowledge of Capital Markets operations and the trade lifecycle is preferred Expertise & Competencies Strong understanding of client account reference and static data management Knowledge of trading custody and settlement account setup processes Experience in Standard Settlement Instructions (SSIs) and settlement operations Strong analytical reconciliation and exception management skills Understanding of operational risk controls payment controls and oversight Effective stakeholder management across Front Office and Data Infrastructure teams Ability to manage priorities in a high-volume deadline-driven environment Strong written and verbal communication skills Advanced Excel management information and reporting skills preferred Work Experience 47 years in Capital Markets Investment Banking Asset Management or Financial Services Operations Hands-on experience in account onboarding reference data SSI management or reconciliations Knowledge of global settlement markets and post-trade operations preferred Experience supporting global financial institutions investment banks or asset managers Exposure to market data trading settlement or workflow platforms is advantageous Role and Responsibilities / Job Description Perform data quality reviews and maintain accurate complete client account and settlement data across systems and repositories Manage end-to-end onboarding maintenance amendment and closure requests for trading custody and settlement accounts Support the establishment of trading and settlement accounts ensuring documentation and setup requirements are completed on time Perform reconciliations between trading systems and central data repositories; investigate and resolve breaks within agreed timelines Track document and escalate exceptions identify root causes and drive corrective actions Onboard validate set up and maintain Standard Settlement Instructions (SSIs) in line with market and control requirements Coordinate SSI changes and settlement exceptions with Front Office Operations Custodians and Counterparties Support corporate actions processing and validate client or account data impacted by market events Perform payment and operational risk event controls oversight checks and breach reporting Ensure adherence to internal controls audit evidence data governance and regulatory requirements Partner with Front Office Trading Desks Operations and Data Infrastructure teams to resolve operational queries Provide timely status updates participate in governance forums and maintain effective stakeholder relationships Monitor service levels maintain process documentation and support continuous improvement or automation opportunities


Required Education:

Any Graduate