This varied and challenging role will see you support a very high-volume Capital Markets desk working across a broad range of Equity, Fixed Income and related Derivatives business. Responsibilities include trade verification, related payments processing, ledger accounting, confirmation matching, reconciliation and break resolution. A good knowledge of Euroclear, CREST and FED settlement will be required as well as experience working in both primary and secondary markets. You will be expected to actively participate in process and systems improvement initiatives.
Please note this role will be working hybrid – 3 days per week in the office and 2 days remotely.