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Company: Valley Bank
Location: New York, NY
Career Level: Entry Level
Industries: Banking, Insurance, Financial Services

Description

Responsibilities include, but are not limited to:

  • The role will provide specialized operational support to the structuring, booking, settlement and finalization of newly issued securities.
  • Be abreast of industry regulatory requirements and support the roll out of new processes that affects the operations functions.
  • Have a good knowledge and experience of the US primary and secondary markets and clearing systems, as well as the settlement mechanics of equities and options.
  • Responsible for back-end processing, including but not limited to trade booking, allocations, confirmations, settlements.
  • Performing basic reconciliation of client accounts (processing trade settlements, resolving discrepancies, inputting information into database, verifying check distributions, etc.).
  • Interact with Trading Desks on a daily basis.
  • Perform daily cash and position reconciliation.
  • Provides comprehensive service for our internal/external clients.
  • Follow control procedures in opening and closing transaction processing.
  • Generates end of day reports.
  • Knowledge of all Settlements Custodians: FED, DTC, Euroclear, FICC, Non-Dollar and Swift Messaging.
  • Ensuring the efficient handling of securities and account transactions within tight deadlines.
  • Process and monitor all daily securities transactions, including wire transfers, check deposits, and cash transfers.
  • Ensure all securities transactions including free receipts and deliveries, global (non-USD) trades and all other securities related transactions including mutual funds and foreign exchange are processed.
  • Ensure compliance with all legal and regulatory policies and requirements of the Private Bank.
  • Resolve client inquiries and issues on a timely basis and as accurately as possible through effective and efficient use of Private Bank resource.
  • Obtain and review documentation prior to submitting to management the details necessary for departmental audits. May take part in interdepartmental projects.


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