Overview
Skills
Job Details
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Extensive experience in managing "day to day aspects and providing support to senior management of Securities (Broker Dealer) Back Office Operations: Experience managing DTCC/FICC, Fedwire and Euroclear activity
Experience managing clearing proprietary activity as well as Affiliate "Clearing "activity
Experience managing operational aspects of a US repo Matched book (Triparty/Bilateral) utilizing BONY BDC/Accessedge systems
Experience in "New Issue settlement
Functional areas of responsibility
P&S (Trade processing/matching))
Settlements
Corp Actions
SBL (Equity and Fixed Income)
Claims Processing
Experience with:
Compliance will Client requirements pertaining to a Broker Dealer Operations Supervision
Stock Record proficiency
Working closely with Treasury/ Repo desk on daily funding
Experience dealing with Client especially during annual FINOP Exams
Basic knowledge of Customer Reserve and Net Capital charges impacted by Operations activity ( operational impacts)
Extensive interface with Regulatory Reporting Function (Broker Dealer CFO office)
FIS P3 experience a plus
Series 27 Registration a plus