Location:Blackpool (hybrid working after probation)
Salary:
Role Purpose
This role sits within a specialist Investment Operations Transfers team responsible for ensuring the accurate and timely movement of securities between custodians counterparties and client accounts across UK and international markets.
As a trainee you will initially support operational processes within the team and develop the technical knowledge required to fully perform a Junior Transfers &Settlements Analystrole. Once trained you will take responsibility for the end-to-end processing and monitoring of stock transfers ensuring settlement obligations are met accurately and on schedule.
The role plays a key part in maintaining the integrity of securities movements and supporting the smooth execution of client and counterparty transactions.
Key Responsibilities
Process and register physical and electronic share movements into and out of client nominee and registered names
Monitor shared operational mailboxes and ensure timely response/actioning of queries
Use internal systems to run and track order books operational tasks and settlement reports escalating issues where required
Monitor daily stock reconciliations across multiple custodians and investigate discrepancies
Follow up on outstanding or delayed transfers on a regular basis liaising with internal teams and external counterparties
Complete transfer documentation including account applications registration forms and stock transfer instructions
Work collaboratively with Client Services Compliance and Client Due Diligence teams to ensure accurate processing and adherence to requirements
Support system testing activity for platform fixes upgrades and process enhancements
Follow all established procedures and ensure operational controls are consistently applied
Contribute to process improvement by identifying inefficiencies and suggesting enhancements
Undertake relevant training and continue developing technical knowledge of investment operations and securities markets
Carry out any additional reasonable duties required to support the wider operations function
Knowledge Skills & Experience
Technical / Professional
Interest in or understanding of securities settlements and investment operations (advantageous)
Willingness to develop knowledge of custody and transfer processes across multiple markets
Systems & Processes
Ability to learn and operate complex internal systems and workflows
Exposure to or willingness to learn operational platforms used in investment administration
Strong procedural discipline with the ability to follow and improve structured processes
Regulatory Awareness
Developing understanding of UK financial services regulation and relevant international frameworks (including Crown Dependencies)
Ability to adhere to regulatory standards and escalate issues appropriately
Core Competencies
Accountability
Attention to Detail
Problem Solving
Communication
Team Collaboration
Adaptability
Time Management
Continuous Improvement Mindset
JuniorTransfers & Settlements AnalystLocation:Blackpool (hybrid working after probation)Salary: Role Purpose This role sits within a specialist Investment Operations Transfers team responsible for ensuring the accurate and timely movement of securities between custodians counterparties and client ac...
JuniorTransfers & Settlements Analyst
Location:Blackpool (hybrid working after probation)
Salary:
Role Purpose
This role sits within a specialist Investment Operations Transfers team responsible for ensuring the accurate and timely movement of securities between custodians counterparties and client accounts across UK and international markets.
As a trainee you will initially support operational processes within the team and develop the technical knowledge required to fully perform a Junior Transfers &Settlements Analystrole. Once trained you will take responsibility for the end-to-end processing and monitoring of stock transfers ensuring settlement obligations are met accurately and on schedule.
The role plays a key part in maintaining the integrity of securities movements and supporting the smooth execution of client and counterparty transactions.
Key Responsibilities
Process and register physical and electronic share movements into and out of client nominee and registered names
Monitor shared operational mailboxes and ensure timely response/actioning of queries
Use internal systems to run and track order books operational tasks and settlement reports escalating issues where required
Monitor daily stock reconciliations across multiple custodians and investigate discrepancies
Follow up on outstanding or delayed transfers on a regular basis liaising with internal teams and external counterparties
Complete transfer documentation including account applications registration forms and stock transfer instructions
Work collaboratively with Client Services Compliance and Client Due Diligence teams to ensure accurate processing and adherence to requirements
Support system testing activity for platform fixes upgrades and process enhancements
Follow all established procedures and ensure operational controls are consistently applied
Contribute to process improvement by identifying inefficiencies and suggesting enhancements
Undertake relevant training and continue developing technical knowledge of investment operations and securities markets
Carry out any additional reasonable duties required to support the wider operations function
Knowledge Skills & Experience
Technical / Professional
Interest in or understanding of securities settlements and investment operations (advantageous)
Willingness to develop knowledge of custody and transfer processes across multiple markets
Systems & Processes
Ability to learn and operate complex internal systems and workflows
Exposure to or willingness to learn operational platforms used in investment administration
Strong procedural discipline with the ability to follow and improve structured processes
Regulatory Awareness
Developing understanding of UK financial services regulation and relevant international frameworks (including Crown Dependencies)
Ability to adhere to regulatory standards and escalate issues appropriately