Job Location : London, UK
Trade Support / Operations / Settlements / Dealing / Payments / FX / Cash Management
The Role
The successful candidate for this role will be a crucial cog in the smooth running of the day to day activities of a boutique wealth management company.
Key Responsibilities:
Candidates can expect the role to include but not be limited:
Key responsibilities
• Preparing instructions and monitoring cash transfers for transaction accounts
• Accurate and timely execution and delivery of client and bank instructions with strict cut-offs
• Performing daily internal and external reconciliation
• Investigation and resolution of failed/non-receipt incoming and out-going FX payments for transaction accounts and clients
• Liaise with Banks/Custodians on a day to day basis ensuring all trades/payments are completed and/or settled in a timely manner
• Resolving queries on a timely basis received from brokers/clients
• Ensuring all trades are booked and matched in appropriate systems and captured timely and accurately
• Generating and sending of trade confirmations to counterparties
• Client reporting including trade confirmations, statement of holdings and monthly statements
So What Are We Looking For?
Salary : -
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