As part of the Global Banking & Markets Division, Asset Servicing plays a critical role in managing Voluntary Income and Corporate Actions across global equity and fixed income products.
The team ensures seamless execution of entitlements, reconciliations, and client servicing, supporting the firm’s reputation and operational integrity.
Responsibilities
Manage distribution of entitlements for Voluntary and Mandatory APAC Equity and Fixed Income Corporate Action and Income events.
Create and maintain Asset Servicing events using proprietary systems.
Provide operational support to internal trading desks, prime brokerage clients, stock loan counterparties, and external brokers.
Reconcile cash and stock balances to ensure accuracy and compliance.
Liaise with custodian banks and self-clear markets, interpreting data using industry standards such as SWIFT.
Deliver timely and precise work under high-pressure, deadline-driven environments.
Skills & Experience
Deep understanding of broker-dealer operations and associated market risks.
Proven experience in Asset Servicing within APAC markets.
Exceptional organizational skills for both daily operations and project execution.
Logical, proactive problem-solver with a continuous improvement mindset.
Strong communicator and collaborative team player.
Demonstrated ability to thrive in high-risk, fast-paced environments.
History of initiating and implementing process enhancements.
This is a renewable contract role.
EA Licence 99C3289
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