Join a team of 7 that supports day-to-day books and records reconciliation (using our vendor tool) to balance trades, positions and cash to clearing house balances
Role includes extensive exposure to business managers and product controllers overseeing financial statements and ledgers.
Identify opportunities to improve controls and simplify processes and take ownership to effect change.
Contribute to project initiatives relating to team to ensure resource management and execution of key deliverables.
Adhere to all control, compliance and regulatory requirements impacting function.
Exception reporting and appropriate escalation of issues to Senior Management.
Qualifications:
Prior relevant experience related to Futures Clearing and/or Markets Operations management.
Deeply curious on the “why” behind the “what”. We need someone energetic who has an appetite to continuously improve processes to drive better outcomes and lower risk.
Experience with reconciliation, including change control, audit compliance, and integrity.
Ability to communicate in a compelling manner with all levels of management and across functional areas – both written and oral.
Ability to influence, create support and buy-in across a wide range of stakeholders, creating a strong network and relationships among peers, internal partners, external constituencies, senior decision makers and stakeholders.
Logical, analytic and rationale thinker; strong data analytics capabilities are vital.
Aptitude for assessing levels of risk and discernment to escalate items of potential concern while addressing remediation plans.
Operations - Transaction ServicesSecurities and Derivatives Processing