Securities Settlements Operations provides operational support for multiple businesses including (but not limited to) Trading, Sales, Investment Banking, Private Wealth, etc. covering functions including Inventory & Liquidity Management, Settlements, Exception management and Reporting, and Strategic Projects. They support their international client base across global markets. Traders & Clients execute Buy & Sell transactions in all major markets, with increasing presence within emerging markets. Upon Settlement Date, trades need to be matched and inventory made available to ensure successful exchange of securities and cash.
Name of the
Organization: Goldman Sachs
Requisition
ID: 139370
Positions: Global
Banking & Markets Operations - Settlements - Analyst
Location: Bengaluru
Salary: As per
company Norms
Educational
Qualifications:
- They are looking for an enthusiastic and committed individual who is looking to operate in a dynamic working environment where communication and teamwork skills are essential.
- Exceptional client service and relationship building are required to interact with our clients and the team.
- The candidate should have a control focus and be achievement orientated to produce results to ensure that all risk is mitigated.
- Strong organisational skills required
- Deadlines within this role are very strict with “zero tolerance”
- Prompt escalation and clear communication is paramount
- Be flexible, work on projects or aid other team members
Preferred
Qualifications:
- Work experience in an Securities Settlements, trade support or securities middle office role for 1 to 2 years.
- Equities Industry and market knowledge would be an advantage.
- Experience of vendor platforms (Euclid) would be an advantage
Job Description:
The
position available is with the Securities Settlements Operations team. The reporting
line is to a Team Manager as first line management, with further supervision by
the Vice President. Key stakeholders and interactions will be with GS Trading
and Sales Desks, Engineering and Operations Teams, Credit, Legal, Compliance
and external counterparties.
The
following tasks give an overview of what is required day to day:
- Monitoring Settlement activity and ensuring securities are in the right place at the right time
- Monitoring Firm inventory to ensure it is moved or converted to facilitate settlement
- Working with the Trading Desk on securing borrows to facilitate settlement
- Query resolution and interaction with trading desk and clients on failing trades
- Investigating and resolving discrepancies of positions (cash and securities) in the firm’s books and records.
- Completing daily checklist ensuring all controls, procedures and processes relating to the assigned functions are followed
- Acting as a change agent solving problems at root cause whilst also taking / making opportunities to automate flows
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