and adjustments with a view to trigger improvements in billing and collections processes Essential:- Experience in Leased line billing , reconciliations and collections. Experience in handling enterprise billing /collection in Telecom operators .Preferably having some Telecom background. High requirement on risk
to promote confidence in the teamEnsure accurate MIS recorded on a weekly basis. Assist with team/dept projects. Complete User Acceptance Testing on enhancements to systems and regression testing. Own and drive process improvement and team results To support the TL to ensure all responsibilities are met
support in all key projects within the Treasury function * Timelines driven activities / deliverables * Consistency and accuracy in work in fast paced working environment Updated Knowledge of IRDA Regulation, RBI / SEBI , Regulations, IC Mandates
and Investment Banking Operations Must have knowledge and experience of Trade Settlements, Corporate Actions and Paid Income and Fee Reconciliations MS Word and Excel is a must Good working attitude and communication skills Ability to drive constant change and ensure risk free operations Qualifications
Operations Must have knowledge and experience of Trade Settlements, Corporate Actions and Paid Income and Fee Reconciliations MS Word and Excel is a must Good working attitude and communication skills Ability to work as a team player and handle high volume of transactions Qualifications Bachelor’s
record and extensive years of experience within Financial Services / Banking• Experience within Securities Operations would be ideal but is not essential.• Lean knowledge an advantage• Ideal for someone with previous work experience looking to expand their knowledge in equity processing within
development lifecycle from inception through implementation. Experience working in both UNIX and Windows environments. Bachelor's degree in Engineering, Computer science or equivalent with relevant experience Preferred Skills: Understanding of SDLC processes and automated tools, spanning
and timely processing of trades and settlements and the proper reconcilement of related cash movements. The institutional clients supported by this team trade in over 60 markets of settlement. Candidate is responsible for: managing the team and making sure all unmatched and failing trades are resolved
Treasury, Legal Entity Reporting, Product Control, Operations, Projects and Technology. There is considerable scope for a highly motivated candidate to develop this role into a key position within the firm. Qualifications Knowledge and Experience: • Knowledge of general accounting principles and ledger
competencies Manager needs to understand work pattern and allocate tasks accordingly. Monitoring the Funding movement between Settlement Nostro and Prime Nostro · Fail Trade Reporting - Follow-up on the trades failed to settle with counterparties, report to the front office · Unmatched Trade Management ...
an Operations background with understanding of securities settlement, funds transfer• Strong knowledge of Excel/ Word is preferable Skills: • Initiative is essential • Quick assimilation of new processes and deal structures• Strong organisational skills and work accurately under pressure • Attention to detail
and internally defined systems and processes. • Close Interaction with Fed 14 counterparts globally • Ability to master and represent JP Morgan on cross industry forums call • Manage and lead a group of Settlements personnel @ 8 to 15 people. • Master and lead change management of all JP Morgan Derivative
is based in the Dublin Service Centre as part of the Global Custody Settlements Operations Department which provides securities settlements support for the four Citigroup Global Windows (London, New York, Luxembourg and Jersey). The department also includes Securities Finance functions.Key
and innovative; challenges status quo; generates strategic advice/product/client solutions · Have a track record of formulating innovative ideas and gaining buy-in from senior management in addition to a track record of execution/delivery/process improvement/leadership in a challenging environment
customer securities in a custody environment and services the assets by settling trades, processing of dividends and interest; handling Corporate Actions; and providing accounting and billing statements to clients regarding their investments. KEY RESPONSIBILITIES • Process reengineering, identify ...