Consultant, Brokerage Ops

ntrs

Sydney

On-site

AUD 100,000 - 140,000

Full time

2 days ago
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Job summary

Northern Trust in Sydney is seeking a newly created Brokerage Operations professional for the APAC team. You will contribute to trade support, settlements, reconciliation, governance and control processes, and liaise with internal and external stakeholders to ensure accurate and timely delivery.

You'll work across Equity and Fixed Income workflows, monitor timelines, apply risk controls, and look for practical improvements to drive efficiency and service quality in a fast-paced market

Qualifications

  • Expanded conceptual and practical knowledge of market and process fundamentals for APAC Equity/Fixed Income.
  • Experience with trade processing, settlement, reconciliation and related operational controls.
  • Understanding regulatory requirements and risk awareness in capital markets.
  • Ability to prioritize and communicate across APAC time zones.

Responsibilities

  • Performs capital markets operations across trade support, settlement, reconciliation, account maintenance, documentation, or control-related processes.
  • Supports APAC domicile client base and inbound APAC execution from global clients; escalates complex matters.
  • Analyzes transactions and data to resolve problems in straightforward situations using judgement.
  • Monitors processing timelines, communicates status, and coordinates with peers to ensure timely delivery.
  • Applies understanding of core business drivers and capital markets requirements to support team goals.
  • Reviews transactions and records for accuracy and compliance with guidelines and controls.

Skills

Market fundamentals
Trade support
Settlement
Reconciliation
Operational controls
Analytical skills

Job description

About Northern Trust

As a global leader in innovative wealth management, asset servicing, asset management and banking services, Northern Trust (Nasdaq: NTRS) is proud to guide the world's most successful individuals, families, corporations and institutions.


Since 1889, we have aligned our efforts with our three guiding Principles That Endure: Service, Expertise, and Integrity. Together, they reflect the three cornerstones of business conduct which we strive to instill in our employees, whom we call partners, and to provide to our clients and the communities we serve worldwide.


With more than 135 years of financial experience and over 24,000 partners, we serve the world's most sophisticated clients using leading technology and exceptional service.


NT Brokerage is a part of the fast paced Banking and Markets division within Northern Trust alongside FX and Securities Finance.


Brokerage Operations are an agile and dynamic global group supporting the growing Northern Trust securities business hubbed in Chicago, London and Sydney. The APAC team support Sales and Trading , across 18 markets in the region for the global client base in conjunction with global market support, oversight and monitoring for the APAC domicile client base. Team coverage timings and working hours are seasonally adjusted and late shift coverage will be required in Sydney summer.


This newly created role is within a team of 4, reporting to the Head Operations APAC and encompasses Trade Support, Middle Office, Settlements, Reconciliations, Governance and Control processes, involving internal and external engagement and ownership.


DUTIES & RESPONSIBILITIES


  1. 1. Performs assigned capital markets operations activities across trade support, settlement, reconciliation, account maintenance, documentation, or control-related processes, ensuring work is completed accurately, timely, and in accordance with established guidelines, policies, procedures, and priorities.

  2. 2. Supports APAC domicile client base and all inbound APAC execution from global client base, including: Accounts, transactions, projects, analyses, internal/external relationships within an assigned capital markets operations area, escalating more complex matters as appropriate.

  3. 3. Analyzes transaction, settlement, reconciliation, client, account, or operational information and evaluates possible solutions using technical experience, judgment, and precedent to resolve problems in straightforward situations.

  4. 4. Monitors progress against processing timelines, service expectations, and control requirements; communicates status updates; and coordinates with peers and immediate managers to support timely delivery of trade lifecycle and operational work.

  5. 5. Applies understanding of key business drivers, brokerage and capital markets operations requirements, operational risk, and functional objectives to complete assigned work and support broader team goals.

  6. 6. Reviews transactions, positions, cash activity, data, documents, exceptions, and account records for accuracy, consistency, completeness and compliance with established guidelines, policies, and control requirements.

  7. 7. Contributes to the quality and timeliness of team deliverables by sharing information, coordinating assigned activities, following through on commitments, and helping resolve routine processing or exception-related issues.

  8. 8. Builds tactical working relationships with peers, immediate managers, related operations teams, and applicable stakeholders, with some exposure to senior staff as needed to support coordination and issue resolution.

  9. 9. Identifies opportunities to improve workflows, procedures, controls, documentation, or existing capital markets operations processes and supports practical solutions that enhance efficiency, consistency, risk awareness, and service quality.

  10. 10. Over time will provide informal guidance to newer team members on routine processes, tools, systems, procedure documentation, brokerage operations activities, and day-to-day work while remaining accountable for individual contributions.


KNOWLEDGE/SKILLS


  • Expanded conceptual and practical knowledge of market and process fundamentals, principles, practices, procedures, and systems within APAC markets for Equity and Fixed Income products. Listed derivative experience an advantage.

  • Ability to solve problems in straightforward situations by analyzing options and applying technical experience, judgment, and precedent.

  • Understanding of key business drivers and how own work supports team, functional, or client objectives.

  • Working knowledge of brokerage or capital markets operations activities, including trade processing, settlement, reconciliation, and related operational controls.

  • Awareness of applicable regional regulatory requirements and the importance of operating within established guidelines and policies.

  • Strong analytical and organizational skills, with attention to detail and the ability to manage multiple priorities within es

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