Key Responsibilities:
• Execute daily settlement activities for US & Mexican bond and repo trades.
• Perform end-of-day reconciliations to ensure accuracy of positions.
• Monitor and resolve failed trades promptly.
• Investigate trade discrepancies and perform research as needed.
• Process cash movements and clear stock & cash breaks.
• Collaborate with internal teams, custodians, and clients for issue resolution.
• Utilize trade monitoring systems such as APEX, ICI, and Calypso.
What We’re Looking For:
• Bach...
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