Overview
In this role you will support the equities trading desk and its 24/7 global operations, focusing on accurate settlements, reconciliations and trade capture across multiple asset classes. You will collaborate with clearing firms, prime brokers and counterparties to ensure timely, compliant processing, while leveraging cutting-edge technology to improve execution efficiency. The position sits in a high-caliber, tech-driven environment known for rigorous, intellectual collaboration. You will contribute to alpha generation by ensuring robust operational workflows and rapid issue resolution.
Responsibilities
- Handle corporate actions and entitlements accurately
- Perform daily reconciliations and manage settlement workflows for ETF creations/redemptions, ADR conversions, and brokered or done-away trades
- Execute trades and capture trade data across equities (cash and futures) and other assets (fixed income, FX, swaps, options)
- Reconcile trades and positions with clearing firms, prime brokers, and bilateral counterparties; monitor P&L
- Support 24/7 global trading operations to improve London office execution and overall efficiency
Key requirements
- At least 2 years in Trading Operations or Settlements
- Background in European equities; familiarity with ancillary products in buy-side or hedge fund environments
- Experience with daily reconciliations and exchange settlement
- calm under pressure
- strong attention to detail
- team-oriented collaboration
- Linux HPC environments
- HFT systems infrastructure
- Linux troubleshooting and virtualization (KVM, VirtualBox)
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