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Transaction Processing Administrator

JR United Kingdom

Slough

On-site

GBP 20,000 - 26,000

Full time

6 days ago
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Job summary

A leading financial services firm is seeking a Temporary Transaction Processing Administrator in Slough. This role is ideal for recent school leavers and involves processing client instructions accurately while maintaining high standards and attention to detail. Successful candidates will support operational teams and ensure timely communication of trade statuses.

Qualifications

  • Must be a recent school leaver.
  • No financial services experience needed.
  • Produces high-quality work with attention to detail.

Responsibilities

  • Ensure all client instructions are processed accurately and on time.
  • Facilitate prompt settlement of global equity and fixed income trades.
  • Respond to client queries within 24 hours.

Skills

Attention to detail
Proactive attitude
Microsoft Word
Microsoft Excel
Self-motivated
Eager to learn

Education

Recent school leaver

Job description

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Transaction Processing Administrator, slough

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Client:

William Rose Associates

Location:

slough, United Kingdom

Job Category:

Other

-

EU work permit required:

Yes

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Job Views:

1

Posted:

31.05.2025

Expiry Date:

15.07.2025

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Job Description:

This role does not sponsor Visa.

William Rose Associates is currently partnering with an established financial services firm based in London, which is looking for a Temporary Transaction Processing Administrator to join the business. This is a temporary role but there is no end date.

ESSENTIAL SKILLS | Transaction Processing Administrator

  • Must be a recent school leaver (no financial services experience needed).
  • Proficient in Microsoft Word and Excel.
  • Produces high-quality work with attention to detail.
  • Eager to learn and self-motivated.
  • Inquisitive and proactive attitude.

We are seeking detail-oriented and proactive individuals to support our clients’ operations teams. In this role, you will ensure that all client instructions—covering trades, cash, and FX—are processed accurately and on time within GCS systems, meeting global custodian and prime broker deadlines. You’ll help facilitate the prompt settlement of global equity and fixed income trades, monitor pending and failed trades daily, and ensure client portfolios are updated in time for reporting. Responding to client queries within 24 hours and providing timely trade status updates is essential. You will also support efficiency improvements and daily cash reconciliations. If you’re reliable, efficient, and committed to high standards, we encourage you to apply.

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