The Operations Specialist is responsible for the accurate and timely execution of core operational processes across multiple markets and financial instruments. This role focuses on day-to-day processing, reconciliations, issue resolution, and control adherence to ensure the integrity of client positions, cash movements, and operational data. The Operations Specialist plays a key role in safeguarding client assets, supporting operational stability, and reducing operational risk.
Key Responsibilities
Operational Processing
- Execute daily operational workflows covering securities, cash, and related post-trade activities.
- Maintenance of bridge and execution infrastructure.
- Price/Execution stream monitoring and symbol mapping.
- Client group and account configuration.
- Process lifecycle events and operational adjustments in line with established procedures and service levels.
- Validate and action data received from custodians, brokers, vendors, and internal systems.
- Ensure client accounts and internal records accurately reflect operational activity.
Reconciliations & Break Resolution
- Perform daily reconciliations of cash, positions, and balances against custodians, counterparties, and internal systems.
- Investigate, resolve, and document reconciliation breaks within agreed timeframes.
- Escalate unresolved, aged, or high-risk breaks in accordance with operational escalation procedures.
- Maintain accurate records and audit trails of issues and resolutions.
- Adhere to operational controls, policies, and procedures.
- Identify processing errors, control weaknesses, and recurring issues.
- Support the implementation of corrective actions to reduce operational risk.
- Assist with internal and external audits by providing accurate data and operational evidence.
- Liaise with custodians, brokers, vendors, and internal teams to resolve operational and reconciliation issues.
- Provide clear and timely updates to stakeholders on outstanding items and operational incidents.
- Act as a point of contact for operational queries within the wider business.
- Contribute to process reviews and operational enhancements.
- Assist in documenting procedures, workflows, and desk-level instructions.
- Support training and knowledge sharing within the operations team.
- Participate in user acceptance testing (UAT) for system changes and enhancements.
Skills & Experience
- Proven experience in an operations role within CFD brokerage.
- Experience working with liquidity and Bridge providers
- Strong hands‑on experience with broker reconciliations.
- High attention to detail with a strong control‑focused mindset.
- Ability to investigate and resolve operational issues efficiently.
- Working knowledge of financial instruments (equities, bonds, funds).
- Proficiency in MS Excel and operational/reconciliation systems.
- Experience supporting multiple markets and asset classes.
- Familiarity with post‑trade or middle‑office operations.
- Knowledge of SWIFT messaging, custodian platforms, and market data providers.
- Exposure to operational risk, controls, and audit environments.
- SQL or Python knowledge.
Personal Attributes
- Highly organised with a disciplined, process‑driven approach.
- Reliable and accountable, with strong ownership of tasks and outcomes.
- Clear communicator, able to explain operational issues to both technical and non‑technical stakeholders.
- Comfortable working under pressure in a deadline‑driven environment.
- Team‑oriented, collaborative, and proactive in supporting colleagues.
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Contact Detail:
EC Markets UK Recruiting Team