Job Description
- Ensure Completeness, Accuracy and Timeliness requirements for our Investment banking securities trades matching cross Equities and Fixed Income. This includes daily exceptions management of trades confirmations and client satisfaction, also ensuring appropriate escalation of items.
- Actively and continually provide ideas and execute on process improvements in the exception management and data quality of submission to clients
- Be the subject matter expert in all team activities and support teams and peripheral stakeholders.
- Client-oriental, as first point of contact for internal and / or external business partners, clients, account managers and relationship managers within a highly regulated environment
- Seek to deliver a best in class client experience, using innovative approaches to identify and address client needs
