Senior Manager
2 weeks ago
This role is Team Lead & SME position that manages the Cash Reconciliation process.
This role leads a team of 3 FTE including this role.
You will join Middle Office Services, Commercial Relationship & Alternative Operations team responsible for monitoring day-to-day deliverables.
This role requires excellent technical and product experience.
**KEY ACCOUNTABILITIES**
- Responsible for cash reconciliation and corporate actions processing within deadlines by working with and overseeing our outsourced provider. This includes analysing multiple data sources to validate the gold copy, lifecycle management and instructing service providers
- Assist in clearing daily cash and asset reconciliation breaks
- Oversight of outsourced service provider and tax reclaim partners
- Liaise directly with service providers, agents, market data providers and occasionally directly with companies to fully understand the terms of events, including documentation and restrictions
- Periodically update procedures and documentation to ensure that they remain current and relevant
- Adhere to the Cash Reconciliation & Corporate Actions Procedures and propose process improvements for risk mitigation
- Proactively respond to queries from all internal and external parties, and develop and maintain relationships
- Collaborating with the other teams to solve operational problems and work on the
- development and continuous improvement of process flows and related operational tools
- Identifying and mitigating/eliminating existing inefficiencies, operational issues and risks
- Identification, review, investigation and documentation of operational risk activities
- Change, Project and Issues Management
- Monthly and Quarterly service reviews with the Service Providers
- Ad-hoc support to the other team members
- Broker/Investment Bank or Custodian Bank)
- Familiar with SWIFT messaging
- Excellent communication skills, both verbal and written
- Excellent organisational and time management skills
**EXPERIENCE / QUALIFICATIONS**
- Minimum of 5 year’s equity and/or bond Corporate Actions and Cash Reconciliation experience (from any of Asset Management,
- Ability to work effectively under pressure and adhere to various deadlines
- High levels of initiative
- Approachable and helpful with good interpersonal skills
- A methodical thinker who will challenge and propose process enhancements
- A team player, assisting colleagues without being asked
- Understanding of Front Office Corporate Actions processes
- Proficient using Microsoft Outlook, Excel and Word
- Experience of Aladdin is preferred
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