about the company.
A well-established global financial institution with a strong international footprint, delivering high quality wealth management solutions across key Asian markets.
about the job.
An exciting opportunity to join a high-performing operations team responsible for trade processing across regional booking centers.
- Execute precise processing for corporate action events and income distributions.
- Perform daily reconciliations against custodian notices to ensure accurate allocations.
- Consolidate voluntary corporate action responses and issue instructions to custodians.
- Communicate with external custodians and internal stakeholders to resolve inquiries.
- Investigate cash or stock break discrepancies promptly to mitigate operational risk.
skills and experience required.
- Experience in corporate actions and income processing within financial services.
- Knowledge of post-trade operations and custodian workflows for wealth management.
- Proven ability to execute reconciliations and resolve transactional discrepancies.
- Effective communication skills to collaborate with internal and external partners.
- Readiness to support operational report reviews and system user testing.
Please click on the 'apply' button to apply online. For more information, please reach out to Sophia Tan. (EA: 94C3609 / R1980830)
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