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
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