Trade and Settlement Assistant Manager
Centre People Appointments · London
Job description
About the role
This position supports a Japanese financial institution in London, overseeing both pre‑trade and post‑trade activities for equities and medium‑term notes. You will manage settlements, reconcile trades, and act as a key liaison with custodians, counterparties and prime brokers while contributing to audits and regulatory filings.
Key responsibilities
- Execute pre‑trade and post‑trade processing for equities and MTN instruments.
- Resolve and escalate settlement queries with custodians and prime brokers.
- Perform daily trade reconciliations and complete end‑of‑day checklists.
- Maintain strong relationships with Front Office, Risk, Compliance, Accounting and overseas teams.
- Support audit activities, regulatory filings and operational due‑diligence processes.
- Manage securities account opening with clients and prime brokers.
- Provide coverage for team members during holidays and rotations.
- Participate in ad‑hoc projects such as system migrations, upgrades and SWIFT CSP attestation.
Required profile
- Minimum 5 years of middle/back‑office experience within a securities broker or asset‑management environment.
- Strong understanding of the trade life‑cycle, settlement processes and cash/position reconciliation.
- Familiarity with market regulations and settlement procedures.
- Ability to work early morning shifts on a rotating schedule and adapt to hybrid working.
Required skills
- SWIFT
What we offer
- Competitive salary starting at £55,000 per annum, negotiable.
- Hybrid working model – remote days combined with office attendance for morning shifts.
- 6‑month fixed‑term contract with strong potential for permanent placement based on performance.
- Opportunity to develop managerial experience within a global financial institution.
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Published 1 month ago
Expires 5 days from now
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Centre People Appointments
London
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