Equities Post-Trade Operations Analyst

Strategic Staffing Solutions

New York (NY)

On-site

USD 38,000 - 53,000

Full time

4 days ago
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Job summary

Strategic Staffing Solutions in New York, NY seeks an Equities Execution Client Operations Analyst to support post-trade services for Sales and Trading desks, including booking and settlement of equity trades and ensuring the accuracy of client books and records.

You will perform post-trade processing, settlement, reconciliation and risk management, collaborate with custodians, issuers and brokers to resolve SSI and settlement issues, and drive efficiency through process improvements.

Qualifications

  • Bachelor's degree required.
  • Detail-oriented with risk-focused mindset.
  • Investigate discrepancies and resolve issues.
  • Present complex information clearly.
  • Work well under tight deadlines with multiple processing deadlines.
  • Strong analytical and communication skills.
  • Collaborative, team-oriented environment.
  • Interest in process improvement and operational efficiency.

Responsibilities

  • Support post-trade services for equities execution desk.
  • Book and settle equity trades; ensure accuracy of client books.
  • Perform post-trade processing, settlement, reconciliation and risk management.
  • Coordinate with custodians, issuers and brokers to resolve SSI issues.
  • Investigate discrepancies and escalate as needed.
  • Respond to operational queries and resolve trade lifecycle issues.
  • Monitor and reconcile trade activity to identify risk.
  • Work with internal and external counterparties to settle transactions on time.
  • Identify process improvements to reduce risk and increase efficiency.

Skills

Attention to detail
Risk management
Analytical skills
Problem solving
Communication
Team player
Process improvement
Project management
Multitasking
Interpersonal skills

Education

Bachelor's degree

Job description

Strategic Staffing Solutions in New York, NY seeks an Equities Execution Client Operations Analyst to support post-trade services for Sales and Trading desks, including booking and settlement of equity trades and ensuring the accuracy of client books and records.

You will perform post-trade processing, settlement, reconciliation and risk management, collaborate with custodians, issuers and brokers to resolve SSI and settlement issues, and drive efficiency through process improvements.

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