Perform daily custody and intersystem reconciliations, 3way reconciliations, Collateral reconciliations, across multiple asset classes, ensuring timely resolution of breaks and adherence to internal controls and regulatory standards
Review, escalate, and coordinate break investigations with custodians, brokers, and internal teams, driving root-cause analysis and sustainable process enhancements
Lead process optimization initiatives within the reconciliation function, leveraging automation and best practices to improve accuracy, efficiency, and reporting quality
Ensuring compliance with SOPs and supporting a strong control environment through regular checks and documentation
Good understanding of MT 535, 940 and 950 SWIFT, MT 103, MT 202, MT 540 series
Requirements
Preferred 2 to 4 years of relevant experience
Good computer navigation & keyboard skills
Good hands-on knowledge of MS Excel and MS applications
Blackrock Aladdin and Sim Corp dimension, Bloomberg, Custody portals
Experience in Power BI
Tech Stack
Swift
Benefits
Trade support, matching, and settlement of public securities
Cash and asset reconciliations
Private assets operations support
Derivatives lifecycle management and confirmation
Cash movements and payments
Securities setup, static data maintenance, and pricing
Corporate actions processing and instruction handling