Charlotte, North Carolina
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Today
Description Process, validate, and reconcile trades across fixed income, equities, derivatives, and other asset classes to ensure timely and accurate settlement. Monitor trade confirmations, allocations, and settlement statuses, resolving exceptions and trade breaks with custodians, brokers, and internal teams. Work closely with the front office, middle office, and external counterparties to troubleshoot failed trades and operational issues. Maintain accurate transaction records and support repo
Full-time
USD 35.00 - 40.00 per hour
