Settlement and Operations Specialist
The position works closely with the firm’s trading desk, legal, compliance and finance director. The role spills into areas of cash reconciliation, managing payments, monthly reports on trading, opening trading lines, management accounting and regulatory reporting. The individual must be able to maintain an efficient liaison with the firm’s clearer and counterparties. Attention to detail, tenacity and punctuality are all essential parts of every aspect of this position.
The ideal candidate would have a transportable skills base and experience in operations/settlement involving any of the following:
- Distressed/Defaulted Debt
- HY and Convertible Bonds
- Bankruptcy Claims - Loans and NPLs
- Structured Finance (ABS, RMBS, CMBS, CDOs, CLOs, Synthetic CDOs other structured products)
- Unlisted Equity
- LPs, Side Pockets
Firm description: Set up in Jan 2009, we are an innovative and fast-growing independent and regulated investment boutique in London, specialised in trading structured products, high yield bonds, and distressed/defaulted/illiquid fixed income securities. Our multi-cultural high calibre professional team is focused on defaulted, distressed and illiquid markets in several jurisdictions. The team’s background is investment banking, legal, sales and quant. We offer an excellent opportunity for the right candidate to thrive in a team environment with an aggressive payout and compensation package.
Candidate requirements:
- Eligible to work in the United Kingdom
- Entrepreneurial spirit as well as attributes of a team player with a strong ability to multi task and work under pressure
- Min 1 year of experience in an investment bank, financial brokerage or fund management
- Think far out of the box; sheer stamina to succeed
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