This is a 12 month fixed term contractCore Duties:Serve as a primary point of contact for day-to-day operational queries from institutional clients.Support onboarding of new clients, including documentation and system setup.Work alongside Custodians and Third-Parties.Coordinate trade processing, settlement, cash movements, and corporate actions with internal teams and external counterparties.Ensure all client instructions are executed accurately and in a timely manner.Perform regular reconciliations and resolve breaks in coordination with custodians and fund administrators.Maintain and improve internal processes to enhance efficiency and mitigate operational risk.Collaborate closely with Relationship Managers, Compliance, Legal, and Technology teams.Essential Requirements:Experience in institutional operations, client service, or a similar.Experience working in asset management (preferred) or a custodian bank.Strong understanding of financial markets, securities processing, and settlement life cycles.Proficiency with operational systems and tools.High attention to detail.Excellent communication and interpersonal skills, with the ability to build strong client and internal relationships.Ability to manage multiple priorities and work effectively under pressure.A strong educational background.
Contact Detail:
LinkedIn Recruiting Team