Summary
Join a dynamic team supporting Japan trading and sales activities from Singapore.
As part of the Japan Securities Settlements Operations unit, you’ll play a critical role in ensuring timely and accurate settlement of securities and cash transactions, while maintaining robust operational controls to mitigate risk.
Key Responsibilities
Ensure prompt and accurate delivery of transactions across Japan market hours
Liaise extensively with agent banks, brokers, and counterparties via phone and email
Manage pre-matching and fail trades in adherence to strict market cut-offs
Prepare daily reports and resolve trade breaks efficiently
Maintain inventory visibility to support successful settlement outcomes
The Japan Securities Settlements Operations team partners closely with trading and sales desks in Tokyo, ensuring seamless post-trade support.
Operating out of Singapore, the team handles high-volume transactions with precision and speed.
Candidate Profile
We’re looking for a proactive and communicative team player with a strong client service mindset and attention to risk controls.
Ideal candidates will have:
1–2 years of experience in securities settlements or related finance operations
Familiarity with equities markets and Japan market practices
Ability to thrive in deadline-driven environments with high transaction volumes
Strong interpersonal skills and a collaborative approach
This is a 6 month renewable contract
#J-18808-Ljbffr