About the Role
You will be the operational backbone supporting cash equity and futures trading. This role is a great opportunity to own the post-trade lifecycle, master client onboarding, and work directly with Business, Technology, and Client Service teams across the firm.
What You Will Do
- Manage Post-Trade Matching: Handle daily client trade requests, resolve clearing queries, and ensure smooth settlements.
- Monitor suspense accounts to make sure trades are correctly allocated on the same day
- Run strict risk and control checks from trade capture to settlement to keep the firm's books and records accurate.
- Improve Workflows: Work with Technology teams to automate manual tasks, fix system breaks, and improve reference data controls.
What We Are Looking For
- Minimum 1 year to 3+ years in Listed Derivatives, Futures & Options trade support, or a trade middle-office role.
- Hands-on experience with industry clearing systems
- Eye for detail, a strong focus on risk control, and the ability to spot mistakes before they happen.
- Excellent teamwork and communication skills to confidently update institutional clients and internal trading desks.
This is a 6 month contract subject to further renewal.
R1100672
99C3289