Key Areas of Responsibilities Booking of trades and issuance of contract note for Gift City NSE IX Derivatives EOD client statements Audit Inspections handling Trade support activities for NSE IX including limit maintenance for dealer client and stock Daily margin reconciliations and exchange upstream and downstream activities Daily Bank movements and reconciliations NSE IX F O Corporation Action adjustments process NSE IX F O Collateral management and exchange allocations Keeping a track of exchange regulatory notifications circulars and implantations of same O Capital NSE IX F O Give-up and trade reporting Familiar with physical settlement of F O positions Client Registration of trading UCC CP Code mapping for Clearing Clients with Exchange and internal trading applications and backoffice system Keeping track of BAN stocks and its reporting Familiar with various margin calculations for NSE IX Gift City F O products Reconciliation of Brokerage and market charges EOD reconciliations of Market vs Client and highlight breaks for necessary actions Work on flexing time shift based on India market process requirements System UAT and production release Requirements Graduate degree Minimum 2-3 years of relevant experience in NSE IX trade support clearing and settlement processes In-depth understanding of Sound understanding of Demonstrated familiarity with Gift City NSE IX Exchange and Clearing Corporation activities Robust analytical and quantitative interpersonal organizational problem-solving project management client serving multi-tasking skills Able to work independently attention to details result-driven self-motivated self-starter proactive mindset enthusiastic a team player Excellent command of fluent in both spoken and written in English language
📌 Associate – Operations (gift City) With A Mnc Institutional Brokerage & Investment Services (Gandhinagar)
🏢 Riverforest Connections
📍 Gandhinagar
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