WHO WE ARE
For over 50 years, we have worked closely with investment and asset managers to become the world’s leading provider of integrated investment management solutions. We are 2,300+ colleagues with a broad range of nationalities, educations, professional experiences, ages, and backgrounds in general.
We are a dynamic, fast-paced company providing a trade operations and Investment Accounting Service. We are looking for a Middle Office Operations expert to join our team, who has a broad understanding of all Investment Operations functions. The role requires expertise across the full trade lifecycle and Investment Accounting Operations. You will thrive in a fast-paced environment with an emphasis on high-quality and timely delivery. A strong interest in learning and harnessing technology will help you succeed in this role.
While continuing to deliver client value, we believe it is vital to consider our people and our planet in every business decision we make. Acting responsibly is not optional. It is essential.
WHY THIS ROLE IS IMPORTANT TO US
You will be a part of the key responsibilities including:
Action daily tasks and monitor the workflow of processes such as:
Transaction data received from; Clients, 3rd party Managers and Custodians.
Trade Lifecycle Management (Confirmation through to Settlement)
Monitor, investigate and resolve transaction booking exceptions
Trades (FI, Equity, Money Market, Derivatives, Private Debt, SPVs, Real Estate)
Events Lifecycle management
Corporate Actions, Coupons, Dividends, Derivative lifecycle
Reconciliations (Platform vs. Custodian and other 3rd Parties) – cash, position, transaction
Liaise with 3rd Party Managers, Counterparties, Clients and Custodians to resolve operational issues
Responding to client queries/requirements
Participating in client on-boarding, testing and service development
Identify continuous service development
Maintain procedures and ongoing training
Manage all administrative activities and contribute to reports to management
Knowledge and adherence to service delivery against SLA and Key Performance Indicators (KPI’s)
Participate in Client internal and external audits.
WHAT WE VALUE
Significant experience in working within a buy-side or outsourced Operations team, specifically Trade Management, Derivatives, Corporate Actions, or Reconciliations
Possess a good level of knowledge of Capital Market products
Familiarity with diverse security types and the investment industry
Proficient in Derivatives product knowledge (OTC pricing, lifecycle) and related areas
Enhanced communication with good verbal and written skills (English Language)
Advanced MS Office tools (Word &Excel)
Continuously improve analytical skills and logical understanding of the process
A Bachelor’s degree in finance or the equivalent combination of education and experience is required.
Please click below to apply or get in touch with Kristina Manukyan (email@example.com), Global Talent Acquisition Partner to learn more about the role and what SimCorp can offer.
Applications are continuously assessed, so please send your CV in English as soon as possible.
If you are interested in being a part of SimCorp but are not sure this role is a suitable role, submit your CV anyway.