Ensure timely and accurate processing of OTC corporation action events, OTC payments and UT dividend payments Close monitoring of OTC Share redemption and Corporate action event timeline Processing of OTC products (Bonds, ELN, Accumulator/Decumulator, CFD, Leverage FX, Options, Futures etc) Monitor and report on trade settlement performance and risk indicators Escalate and resolve complex trade issues with internal and external stakeholders (custodian banks, institutional clients, foreign brokers, liquidity providers and system vendors) Identifying and managing operational risks. Ensure compliance with regulatory and internal policies and procedures Job Requirements Min. Degree in Banking & Finance Prior work experience in financial institutions will be advantageous Able to commence work within short notice