Core Responsibilities

The analyst will manage cash movements into and out of client accounts, ensuring accurate allocation and reconciliation of funds, while collaborating with other business lines for proper funding coordination. Responsibilities also include contributing to process improvements, participating in trade lifecycle projects, and developing foundational knowledge of market products and regulations.

Requirements

Candidates need baseline knowledge of financial markets and the transaction lifecycle, along with demonstrated ability to manage cash movements and coordinate funding across business lines. Required capabilities include experience with process improvement methodologies, automation technologies, and establishing productive relationships with internal stakeholders.

Additional Information

Experience Level

2-5

Job Language

English

Work Mode

On-site