In this 12 Month Fixed Term Contract you will be responsible for updating the client book of records by inputting, checking and posting securities transactions. You will work closely with the Investment Management business to ensure workflows are completed in a timely manner, and liaise with external parties to arrange client asset transfers.
You will need:
- Proven securities industry experience, together with a good understanding of other operational areas
- Confident with Microsoft Office software
- Confident to speak to third parties on the phone