Manage end‑to‑end trade checking and reconciliation processes, proactively identifying and resolving discrepancies while ensuring accurate data across trading platforms.
Coordinate closely with Front Office, Back Office, and Payments teams to meet daily settlement deadlines, currency cut‑offs, and support smooth trade execution.
Oversee key post‑trade activities—including options processing, expiries, margin monitoring, and client trade administration—while resolving any trade related issues.
Perform timely and proactive management of the trade checking process, finding and resolving any problems or discrepancies.
Use both forward‑looking and retrospective trade checks to ensure that back office/settlements can effectively reconcile previous days and months.
Work with Front and Back Office to ensure daily settlement deadlines and currency cut‑offs are met.
Ensure data is accurate across t...
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