Qualifications:
- College/University degree
- Experience in the financial services industry at a bank/broker service provider or as a custodian
- Familiarity with the trade lifecycle and industry participants to the process flow
- Fed direct participant experience 1 years or more
- SWIFT messaging - securities cash reporting and FX message types
- Client or Operational support experience for global agent network
- Background in project lifecycle participation delivery and reporting
- Fedwire or CHIPs funds transfer experience
- DTC experience (or global depository ICSD)
Responsibilities:
- Status (before on and post contractual settle date) troubleshoot and settle transactions with service partners external clients agents/depository and/or counterparties towards trade fail mitigation
- Daily monitoring and deadline driven processing of incoming and outgoing transactional instructions from/to client and to/from agent/depository
- Adherence to client Service Level Agreements/Descriptions (SLA/SLD)
- Inquiry management with attention to established timelines
- Strict observance of Daily checklist procedural and internal/regulatory/compliance/operation risk controls
- Status and resolve cash and/or stock breaks between custody and client or agent/depository and custody along with any additional risk data as assigned by team lead/manager
- Elevate potential risk client counterparty reputational financial regulatory etc. to team leads/manager with immediacy
- Review OFAC/Sanction blocks of transactional activity and complete Compliance/Regulatory/Continuing Education ahead of assigned deadlines
- Develop solutions with peers service partners and IT to continually improve quality of service delivery reporting and transactional flows with attention towards cost effectiveness automation system enhancements new products/services and efficiency.
- Involvement in client/agent/depo asset migrations system UAT industry changes business continuity support audits or significant productions changes (note: will include some weekend coverage across the year in each location)
- Actively participate and contribute to personal development and career development alongside the team lead/manager training courses research BNP initiatives etc.
- Enrich fail trade status and/or client reporting and communicate with service partners towards delivering premier services developing relationships and improving the client experience; locally and with global peers across client facing and operational teams
- Cross train with peers across global and US activities covered within the Settlements and Cash team for seamless solution delivery
- Actively participate in projects independently with team/partners and regionally
Additional Information :
All your information will be kept confidential according to EEO guidelines.
Remote Work :
No
Employment Type :
Contract
Qualifications: College/University degreeExperience in the financial services industry at a bank/broker service provider or as a custodianFamiliarity with the trade lifecycle and industry participants to the process flowFed direct participant experience 1 years or more SWIFT messaging - securities...
Qualifications:
- College/University degree
- Experience in the financial services industry at a bank/broker service provider or as a custodian
- Familiarity with the trade lifecycle and industry participants to the process flow
- Fed direct participant experience 1 years or more
- SWIFT messaging - securities cash reporting and FX message types
- Client or Operational support experience for global agent network
- Background in project lifecycle participation delivery and reporting
- Fedwire or CHIPs funds transfer experience
- DTC experience (or global depository ICSD)
Responsibilities:
- Status (before on and post contractual settle date) troubleshoot and settle transactions with service partners external clients agents/depository and/or counterparties towards trade fail mitigation
- Daily monitoring and deadline driven processing of incoming and outgoing transactional instructions from/to client and to/from agent/depository
- Adherence to client Service Level Agreements/Descriptions (SLA/SLD)
- Inquiry management with attention to established timelines
- Strict observance of Daily checklist procedural and internal/regulatory/compliance/operation risk controls
- Status and resolve cash and/or stock breaks between custody and client or agent/depository and custody along with any additional risk data as assigned by team lead/manager
- Elevate potential risk client counterparty reputational financial regulatory etc. to team leads/manager with immediacy
- Review OFAC/Sanction blocks of transactional activity and complete Compliance/Regulatory/Continuing Education ahead of assigned deadlines
- Develop solutions with peers service partners and IT to continually improve quality of service delivery reporting and transactional flows with attention towards cost effectiveness automation system enhancements new products/services and efficiency.
- Involvement in client/agent/depo asset migrations system UAT industry changes business continuity support audits or significant productions changes (note: will include some weekend coverage across the year in each location)
- Actively participate and contribute to personal development and career development alongside the team lead/manager training courses research BNP initiatives etc.
- Enrich fail trade status and/or client reporting and communicate with service partners towards delivering premier services developing relationships and improving the client experience; locally and with global peers across client facing and operational teams
- Cross train with peers across global and US activities covered within the Settlements and Cash team for seamless solution delivery
- Actively participate in projects independently with team/partners and regionally
Additional Information :
All your information will be kept confidential according to EEO guidelines.
Remote Work :
No
Employment Type :
Contract
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