OTC - Brokerage - SME/TL/TM - Bangalore/Hyderabad
5 Nos.
26350
Full Time
3.0 Year(s) To 8.0 Year(s)
0.00 LPA TO 0.00 LPA
Job Description:
Candidates based from BLR/ HYD & Pune – On high priority. who can join immediately/30 Days’ notice period. Salary will deviate for early joiners
SPE
Activities to perform
- To understand the process workflow and get trained on the specific functions within timeframe specified
- Ensure all invoices from the broker are received and indexed.
- Perform daily reconciliations of brokerage trades and accurate calculation of brokerage.
- Investigate/resolve any exceptions identified, Liaise with internal teams during the investigation and own the resolution of the issue.
- Ensure all SLA/KPI as agreed with Client is met with 100% accuracy and timeliness
- Manage the broker relationships with timely responses to their queries and settling the outstanding brokerage within agreeable period
- Track all the updates and report daily to supervisor/manager and adhere to the checklist
- All reports to be prepared accurately and submitted on time as per timelines agreed with client.
- Learn new changes to the workflow, when suggested, and document them down as procedures for sign-off by the manager/client
- Ensure all process related controls are followed without exceptions.
- Emails are acknowledge within 24 (1 BD) hours and responded with resolution within 48 hrs from the date of receipt.
KNOWLEDGE/SKILL
- Experience in Reconciliation process
- Effective communication skills to manage broker/client
- Basic knowledge of the OTC market, derivative products and operating conventions
- Excellent MS Excel/Word skills
- Ability to work with team and demonstrate the positive influences among peers
- Proven ability to work effectively within strict deadlines
- Flexibility to work as per business requirements
SME
Activities to perform
- To understand the process workflow and get trained on the specific functions within timeframe specified
- Ensure all invoices from the broker are received and indexed.
- Perform daily reconciliations of brokerage trades and accurate calculation of brokerage.
- Investigate/resolve any exceptions identified, Liaise with internal teams during the investigation and own the resolution of the issue.
- Ensure all SLA/KPI as agreed with Client is met with 100% accuracy and timeliness
- Manage the broker relationships with timely responses to their queries and settling the outstanding brokerage within agreeable period
- Track all the updates and report daily to supervisor/manager and adhere to the checklist
- All reports to be prepared accurately and submitted on time as per timelines agreed with client.
- Learn new changes to the workflow, when suggested, and document them down as procedures for sign-off by the manager/client
- Ensure all process related controls are followed without exceptions.
- Emails are acknowledge within 24 (1 BD) hours and responded with resolution within 48 hrs from the date of receipt.
- Perform QC and ensure all checks are completed and submitted to MC on a daily basis.
- Share the QC rejections & Invalid Exceptions to the team and inform the management. Weekly/Monthly review of your balance sheet with your respective stakeholders/ business managers.
KNOWLEDGE/SKILL
- Experience in OTC Brokerage Reconciliation process
- Strong knowledge of the OTC market, derivative products and operating conventions
- Excellent MS Excel/Word skills
- Effective communication skills to manage broker/client
- Ability to work with team and demonstrate the positive influences among peers
- Proven ability to work effectively within strict deadlines
- Flexibility to work as per business requirements
TL
Activities to perform
- Ensure accurate management of daily reconciliations of brokerage trades and brokerage calculation with Hands-on experience in the process.
- Exception management, including timely escalation of discrepancies to appropriate stakeholders, follow up and ownership through to resolution
- Have required communication with Recon team for better understanding of their workflow and making reporting process more efficient
- Ensure all SLA/KPI as agreed with Client is met with 100% accuracy and timeliness
- Manage the broker relationships with timely responses to their queries and settling the outstanding brokerage within agreeable period
- All reports to be prepared accurately and submitted on time as per timelines agreed with client.
- All exceptions are tracked and escalated as per timelines agreed.
- EOD checklists are reviewed and saved on daily basis
- All reports (Daily, Weekly & Monthly) should be delivered on time with 100% adherence to SLAs & 100% Accuracy
- Ensure you are aware & trained on all activities/reports in the team with no dependency on Client and team.
- Zero escalations from brokers/ for inadequate response.
- Have regular interactions and review meetings with Client
- Identify areas of improvement and propose solutions & Ensure any and all change in the process is reported and documented.
- Review the performance of the team members and maintain Training Matrix, SOP (Change Management), Escalation Tracker, Error Log
- Assist TM/Management in any adhoc requests and support during their absence.
KNOWLEDGE/SKILL
- Experience in OTC Brokerage Reconciliation process
- Strong knowledge of the OTC market, derivative products and operating conventions
- Excellent MS Excel/Word skills
- Effective communication skills to manage broker/client
- Ability to work with team and demonstrate the positive influences among peers
- Proven ability to work effectively within strict deadlines
- Flexibility to work as per business requirements
- People Management
Company Profile
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