Senior Transitions Manager
Prestigious asset management house seeks high calibre individual with significant experience of working in an institutional client and on-boarding role within an asset management environment, to work on the establishment of a framework to ensure delivery of best in class Client Operations and Client Transitions. Key responsibilities will be to provide a superior level of client service to ensure the efficient take-on of client activity and client change events (e.g. restructuring, custodian changes) by successfully taking ownership of the full transition project lifecycle. Applicants will demonstrate Read more […]
Junior Hedge Fund Operations Executive (listed derivatives, primarily index futures / options)
The Opportunity: This is a broad role working for an exciting and entrepreneurial financial services business located in the City of London The company has a broad offering, including a market making business, along with a hedge fund with that recently launched Within this role you will be primarily focused on operationally supporting the trading function of the hedge fund The fund invests in listed derivatives (primarily index futures and options) and foreign exchange markets, and, the investment approach is primarily quantitative and systematic in nature You will be supporting a senior Middle Read more […]
Associate Draft /Payment Investigations
Reporting to the Manager, Investigations, this role will see you performing a variety of Draft and Payment investigations. Like to know more??CAN you take up these responsibilities??Action cases and maintain after care of existing /closed / diary cases for Drafts / Inward and Outward / AUD and Foreign Payment Investigations. Complying with Service Level Agreement standards for delivery and adhering to all policy and procedural guidelines. Reporting any unusual or difficult transactions and/or complaints to the Manager. Management reporting including internal communication to other areas of PBS Read more […]
C&CB Coordinator (Part Time), Tasmania
• Tasmania location• Part- Time role• Be part of super regional bank goal We’re exploring new and better ways to progress the business with energy and enthusiasm. Backed by a proud and established heritage, we’re on a journey creating a super regional bank. Connected by integrity and clarity of strategy, there is a real sense of excitement about the future. Reporting to the State Operations Manager, Corporate Commercial Banking, this position is responsible in managing the frontline business operational and administration requirements of their local geography. The focus of this position Read more […]
Asia eCommerce FX, Rates and Credit Client Service
Part of Group Technolocy Operations, Global Business Services (Operations) encompasses the people and processes that back up global deal-making. Every day, they make sure that billions of trades anre settled, risk is minimized and clients are satisfied. The objective of eCommerce Client Services is to provide a premier cross trained global client service team for Deutsche Bank’s clients trading on the Autobahn suite of electronic trading platforms and bespoke ISV platforms. Responsibilities: Client relationship management, Product management and Risk management of the cross product franchise Read more […]
Executive Assistant
Teamwork • Proactively work as part of an EA Support Team to ensure consistent support levels are delivered to the allocated client group and across the practice, and that policies and procedures are adhered to. Scheduling/ Diary Management • Manage busy team diaries, arrange meetings and organise complex travel, accommodation and transfers as appropriate. Communications and Networks • Screen phone calls and messages, sort post and emails for the team and prepare list of action items and issues, referring to the relevant team member when appropriate. • Prepare and revise documents Read more […]
Executive Assistant, Macquarie Capital
We are seeking an experienced Executive Assistant to join our Macquarie Capital team in a newly created position. This will be a 12 month term. Experience within Financial Services will be highly regarded.Key Responsibilities: Managing diaries and booking of meeting rooms; Acting as coordinator and main point of contact for the group; Booking and scheduling travel including coordination of approvals and preparation of itineraries; Email management; Researching companies, clients and projects, and preparing briefing notes as required; Processing of invoices and American Express expense claims Read more […]
Team Assistant
Banking and Financial Services Group (BFS) is the primary relationship manager for Macquarie’s retail client base in Australia, New Zealand, Asia, North America and Europe. Products and services include wealth management, stockbroking and retail lending and banking solutions such as residential and commercial mortgages, investment lending, personal loans, credit cards and relationship banking to businesses and professionals. The Macquarie Banking and Financial Services (BFS) – Personal Banking Division has been established to grow the propriety customer base of Macquarie by delivering a differentiated Read more […]
Document Administrator
The Banking and Financial Services Group (BFS) is the primary relationship manager for Macquarie’s retail client base with operations in Australia, New Zealand, Asia, North America and Europe. BFS provides a diverse range of retail banking and wealth management products and services to intermediaries, businesses and the end consumer. The Macquarie Banking and Financial Services (BFS) – Service Operations division provides a consistent, yet specialised client experience for a range of client types. With over 700 staff our scalable business model is designed to provide the highest level of service Read more […]
Senior Accountant
Our views matter. So will yours.Further information about “working at Moody’s” is available at our Careers Page at www.moodys.comThe Role / Responsibilities: Detailed Duties Financial Accounting* Take ownership on the financial of the entities assigned* Review all vendor invoices and payment vouchers, making sure they are routed to the appropriate approvers for approval and correctly recorded. Liaise with Account Payable Hub* Review all AP costs and allocations charge in from other group entities* Initiate cost allocation, charge out and intercompany invoicing to other group entities * Liaise Read more […]