Senior Manager - Trade Processing (Mumbai)

Senior Manager - Trade Processing (Mumbai)

10 Aug
|
Nuvama Group
|
Mumbai

10 Aug

Nuvama Group

Mumbai

– Trade Processing & Custody Operations

Role Summary The Trade Processing Manager is responsible for managing end-to-end trade processing, custody operations, exchange settlements, billing, regulatory reporting, reconciliations, and operational controls across Equity, Currency, Commodity, Custody segments. The role ensures seamless execution of post-trade activities, regulatory compliance, operational efficiency, stakeholder management, process automation, and continuous process improvements.

Key Responsibilities

Trade Processing & Exchange Operations

- Lead and manage day-to-day trade processing activities for Equity, Currency, Commodity, Institutional, Custody segments.
- Ensure all trades executed during the trading day are accurately captured, validated, processed, settled, accounted for, and reported within defined timelines.
- Monitor trade lifecycle from execution through settlement while ensuring adherence to exchange and regulatory guidelines.
- Verify daily exchange obligations and reconcile settlement data with exchange records.
- Ensure timely completion of pay-in/pay-out obligations and settlement activities.

Custody Operations

- Oversee end-to-end custody trade processing for custodian clients.
- Coordinate with Custodians for timely trade confirmations, affirmation, settlement instructions, and exception resolution.
- Ensure timely STP (Straight Through Processing) upload of custodian clients trades.
- Monitor and resolve STP exceptions, unmatched trades, and settlement failures.
- Coordinate with Custodians, Clearing Members, Depositories, and internal teams to ensure smooth settlement.
- Manage DVP (Delivery Versus Payment) settlement processes and ensure timely execution.
- Track settlement status and proactively resolve trade and settlement discrepancies.
- Ensure compliance with custodian client SLAs.

Contract Notes & Billing





- Oversee generation and dispatch of daily Contract Notes and Bills through electronic and physical modes.
- Ensure Contract Notes are generated accurately and duly authorized as per regulatory requirements.
- Manage monthly reconciliation of exchange charges and provide validated data to the Finance & Accounts team.
- Monitor brokerage billing, exchange charges, and operational revenue reporting.

Margin Reporting & Regulatory Reporting

- Ensure timely reporting of margin collection files to Stock Exchanges for Equity, Currency, and Commodity segments.
- Perform reconciliation of exchange margin reporting and penalty reports.
- Monitor daily margin reporting compliance and maintain MIS.
- Ensure adherence to Exchange, SEBI, Clearing Corporation, and Depository guidelines.

Reconciliation & MIS

- Perform reconciliation of:
- Exchange obligations
- Custody settlements
- Margin reporting
- Billing and exchange charges
- Trade confirmations
- DVP settlements
- Maintain operational MIS relating to:
- Trade processing
- Margin reporting
- Transaction modifications
- Brokerage changes
- Exchange penalties
- Operational KPIs
- Custody operations
- Generate periodic management reports and operational dashboards.

Audit, Compliance & Risk Management

- Coordinate with Compliance, Internal Audit, Statutory Audit, Exchange Inspection, and Regulatory teams.
- Provide operational data, reconciliations, and supporting documents during audits.
- Ensure timely closure of audit observations and implementation of corrective actions.




- Strengthen operational controls to mitigate operational and regulatory risks.
- Ensure compliance with SEBI, Stock Exchange, Depository, and Custodian guidelines.

System Enhancement & Process Automation

- Coordinate with IT teams and software vendors for:
- Exchange-mandated system upgrades
- Current process implementation
- STP enhancements
- Process automation
- Error rectification
- System maintenance
- Maintain operational reports and ensure timely implementation of system enhancements.
- Identify opportunities for automation and operational efficiency improvements.

Key Skills & Competencies

- Strong knowledge of Equity, Currency, Commodity, Custody Operations.
- In-depth understanding of Exchange Settlement, Clearing Corporation processes, DVP settlement, Custodian Operations, STP processing, Trade Lifecycle.
- Expertise in Trade Processing, Contract Note generation, Billing, Margin Reporting, and Exchange Reconciliation.
- Sound knowledge of SEBI, Exchange, Depository, and Custodian regulations.
- Experience in Operational Risk Management, Audit Coordination, and Regulatory Reporting.
- Strong analytical, reconciliation, and problem-solving skills.
- Excellent stakeholder management and cross-functional coordination abilities.
- Proven experience in process automation and operational excellence.
- Strong leadership, people management, and communication skills.

Preferred Qualifications

- Bachelor's or Master's degree in Commerce, Finance, Accounting, or Business Administration.
- NISM VIII – Risk and Operational module certification required.

Experience

- 8–12 years of experience in Capital Market Operations, Trade Processing, Custody Operations, Exchange Settlements, and Regulatory Reporting.
- Minimum 3–5 years of experience leading Trade Processing or Custody Operations teams within a brokerage, custodian, clearing member, or financial institution.

📌 Senior Manager - Trade Processing (Mumbai)
🏢 Nuvama Group
📍 Mumbai

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