Banking Ops Specialist — Structured Products

PERSOL SINGAPORE PTE. LTD.

Singapore

On-site

SGD 60,000 - 90,000

Full time

2 days ago
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Job summary

PERSOL SINGAPORE PTE. LTD.

is seeking an Operations Specialist to support the end-to-end lifecycle of structured products, OTC FX transactions and payment settlements, coordinating with Front Office and Head Office to ensure smooth, accurate daily operations. Key responsibilities include managing product lifecycles for equity- and FX-linked products, processing OTC FX options and DCI fixings, monitoring redemptions, handling payments and settlements, LEI applications, and coordinating with Head

Qualifications

  • Bachelor’s Degree in Business, Finance or related discipline.
  • 3–5 years in banking, financial services or operations.
  • Good understanding of financial products, esp. structured notes and FX.
  • Familiarity with Avaloq banking system.
  • Strong attention to detail and data accuracy.
  • Excellent communication and collaboration across teams.
  • Well-organised with ability to manage multiple priorities.

Responsibilities

  • Manage product lifecycle for equity- and FX-linked products.
  • Process daily OTC FX options and DCI fixings.
  • Monitor structured notes for early redemptions and notify Front Office.
  • Serve as operations contact for Front Office and Head Office.
  • Process payments and resolve settlement discrepancies.
  • Coordinate securities deliveries and cheque/cash transactions.
  • Reconcile outstanding breaks with Head Office.
  • Manage LEI applications, renewals and related documentation.
  • Maintain physical records and archives.
  • Support ad-hoc operational activities and projects.

Skills

Attention to detail
Analytical skills
Problem-solving
Communication skills

Education

Bachelor’s Degree in Business/Finance

Tools

Avaloq

Job description

PERSOL SINGAPORE PTE. LTD.

is seeking an Operations Specialist to support the end-to-end lifecycle of structured products, OTC FX transactions and payment settlements, coordinating with Front Office and Head Office to ensure smooth, accurate daily operations. Key responsibilities include managing product lifecycles for equity- and FX-linked products, processing OTC FX options and DCI fixings, monitoring redemptions, handling payments and settlements, LEI applications, and coordinating with Head

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