Senior Associate - Cash & Position Reconciliation (Karnataka)

Senior Associate - Cash & Position Reconciliation (Karnataka)

03 Aug
|
STP Investment
|
Karnataka

03 Aug

STP Investment

Karnataka

Job Title: - Senior Associate _ Private wealth (Advent)

About STP

From Pennsylvania to India STP Investment Services is rooted in a culture that focuses on employee growth, professional development, and a team-based, collaborative environment. STP was formed in 2008 with one client, five employees, and $2B in assets under administration. Today, we’re an award-winning, industry-leading fintech and global investment operations firm with headquarters in West Chester, PA, and Bangalore, India. None of our company’s success would have been possible without the incredible team members who live our values every single day. Across our firm, from the US to India, STP is rooted in a culture that focuses on employee growth, professional development, and a team-based, team-oriented environment.

Benefits of Working with STP

Flexible Work Environment

Competitive Compensation & Employee Benefits

Bouquet of Rewards & Recognitions

Work-Life Balance

Continuous Learning Opportunities

Be Part of an Inclusive Culture

Roles and Responsibility

Handling end-to-end daily cash reconciliation and position reconciliation of transactions for multiple products, i.e., derivatives, equities, fixed income, corporate actions, trades, etc.

Reconciliation of custodian records with accountings.

Responsible for clearing aged breaks and investigating the unreconciled difference, resolving the issue, and keeping the valid breaks.

Processing of corporate action in application

Set-up of different type of securities in application





Responsible for feed loading status from the Custodian and Investment manager side.

Engage with client contacts and custodian banks to resolve issues within established guidelines.

Resolve complex transaction break queries by reaching out to custodians, clients, and other departments with proper investigation.

Finalizing the true breaks and preparing the posting entries related to daily expenses, income, and trade adjustment postings.

Handling client queries and raise issues with clients related to the process.

Maintain accuracy levels as per client standards and meet SLAs.

Strive for customer satisfaction and prioritize Client Delight.

Required Skill Sets

3-5 years of experience in investment Banking or Financial market industry.

Should have a good understanding of Reconciliation and resolving discrepancies.

Flexibility and able to quickly adapt to changing assignments

Sound understanding of middle and back-office operations within a typical asset management firm with various asset classes.

Good business domain knowledge in the mutual fund / Hedge Fund / SMA, including an overview of portfolio management and accounting.

Good knowledge and understanding of Corporate Action and Fixed Income products.





Good knowledge of different asset classes.

Knowledge of Posting of different kinds of transactions like Paydown, Coupon, Contribution/Withdrawal, etc.

Proven initiative-taking ability, and the capability to drive such initiative across the unit.

Ability to prioritize and complete multiple assignments under short deadlines

Excellent analytical and problem-solving skills.

Exceptional verbal and written communication skills.

Proficiency with Microsoft applications.

SQL Experience

Additional Skill Sets

Advent Axys, APX, Envestnet / Tamarac Portfolio Center, Orion, Addepar, Black Diamond or other portfolio accounting & investment performance reporting systems is highly preferred.

Proficiency with Microsoft applications.

SQL Experience

Behavioral Skills

Eagerness to Learn and grow.

Clear articulation of ideas and issues.

Setting and achieving realistic and challenging goals.

Dealing effectively with pressure and maintaining focus under adversity.

Effective sharing of information and communication within teams.

Openness to feedback and continuous improvement.

Qualifications

Bachelor’s degree in accounting, Finance, Information Systems, or related field required.

Master’s degree in finance/accounting

Process Shifts:

The person should be flexible to work in shifts.

How to apply: - Visit our Career Site – indiacareers.stpis.com and search for the role you want to apply for or share your resume directly to stp_india_recruitment.com.

📌 Senior Associate - Cash & Position Reconciliation (Karnataka)
🏢 STP Investment
📍 Karnataka

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