Job Description
Receive and process multi-asset class settlement instructions, within market stipulated guidelines for assigned clients. Monitor and execute against exceptions and respond to queries to provide an accurate, timeous and quality Settlements service to our clients, Investor Services and the business.
Additional Information
Behavioural Competencies:
Articulating Information
Checking Things
Developing Expertise
Following Procedures
Interacting with People
Managing Tasks
Meeting Timescales
Team Working
Upholding Standards
Technical Competencies:
Client Servicing
Continuous Process Improvement
Data Analysis
Deal or Trade Life Cycles
Local Market Knowledge
Query Resolution
Settlement Process
Requirements
Type of Qualification: First Degree
Experience Required: 3-4 years
Basic knowledge of and expertise in Securities, post trade services and related products in the Securities Environment, which includes the processing of Equities, Bonds and Money Market instruments.
Demonstrated client centric behaviour with the ability to interact with clients through various channels (email, telephone and SWIFT) to understand and meet client needs.
Banking operations experience.