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As a Trade Lifecycle Associate I within the Settlements team, you will support the daily operations for settlement and transaction processing for Equities and Fixed Income trades received from global and domestic clients. You will execute error-free operations, identify and escalate exceptions, and comply with firm policies and Standard Operating Procedures (SOP). You will also participate in training opportunities to enhance your skill set and cross-train colleagues.
Job responsibilities:
Provide supervisory support in the day-to-day management of business deliverables, including trade instructions, settlement of trades, inventory/position management, and inter-company reconciliation.
Required qualifications, capabilities and skills:
At least 5 years of experience in Banking and Financial Services/Treasury environment or related function.
Internal Application Eligibility Requirements
TENURE:
Must meet minimum employment tenure requirement. Specific roles require longer tenure in current position to be eligible to apply. Unless established for specific positions by the line of business, the standard tenure requirement is 12 months.
Meets satisfactory performance standards as defined by the firm
By submitting an application and/or joining the interview, you affirm to meet the Internal Mobility Eligibility Requirements as stated in the
In partnership, Hiring Managers and Recruiters will review applications to determine which candidates best meet the required skills and experience specified in the job description. While not every application will result in an interview, applications will be acknowledged.
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