Core Responsibilities

Manage cash movements and funding coordination for client accounts while ensuring accurate reconciliation. Contribute to process improvements and automation initiatives to enhance operational efficiency across trade lifecycles.

Requirements

Requires baseline knowledge of financial markets and the transaction lifecycle, along with experience in process improvement. Strong analytical skills and the ability to manage stakeholder relationships are essential for success in this role.

Additional Information

Experience Level

0-2

Job Language

English

Work Mode

On-site