We are working with an international institutional fixed income broker/dealer.
They are seeking a Settlements Associate to be responsible for the daily operational processes supporting trade settlement, collateral management, and specialized handling of capital markets transactions.
Key Responsibilities
Ensure timely settlement of trades, accurate margin call administration, and proactive issue resolution with counterparties and internal stakeholders.
Lead margin calls with counterparties to meet required deadlines, providing timely responses and escalations.
Lead assigned special handling processes.
Own, monitor, and action open items in alignment with daily task deadlines and process guidelines.
Manage coordination of deal pipeline activities with relevant internal teams, ensuring postings in the TradeOps Calendar and adherence to specialized settlement requirements.
Partner closely with internal teams, counterparties, custodians, and clearing agents to resolve settlement breaks and margin disputes.
Provide timely updates and escalate issues to management when settlement risk is identified.
Support oversight of money differences, actively monitoring balance breaks in relevant systems and accounts.
Manage customer communication and reconciliation processes on high-risk unresolved money balances.
What We Are Looking For
Strong understanding of trade lifecycle and settlement processes related to fixed income products.
Strong understanding of key platforms and vendors used in the settlement process (including DTCC, RTTM, Euroclear, Clearstream, and Pershing).
Strong written and verbal communication skills with external counterparties.
Ability to work independently under tight deadlines, particularly morning margin cutoffs.
For further information, please contact Caitlynn Fourie
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