Description Join our team as a Trade Lifecycle Analyst! Ensure timely equity settlements across Europe and Middle East and North Africa (MENA). As a Trade Lifecycle Analyst in Broker Dealer Settlements Team, you will be responsible for timely settlement of Equity transactions across Europe and MENA markets. The Broker Dealer Settlements team is part of the Commercial and Investment Bank, responsible for monitoring all equity trade settlements across 12 markets. The team supports the Commercial and Investment Banking business globally for Cash, Equity Derivatives Group, Prime Services, and Securitized Derivative businesses for Equities, as well as Credit and Rates for Fixed Income. Job responsibilities Settle equity trades with a focus on priority clients Escalate and resolve failing trades Manage Securities Borrowing and Lending (SBL) activity Instruct conversions, both physical and American Depositary Receipts ( ADRs) Oversee delivery management and cross-depot stock movements Process payments Report daily on high/credit risk Resolve cash and stock breaks in collaboration with the Reconciliations team Drive efficiency initiatives Required qualifications, capabilities, and skills Demonstrate attention to detail Be self-motivated Exhibit good communication skills Act as a proactive team player Manage time effectively Apply analytical skills Have financial services experience with an interest in securities and investments Work under pressure due to cut-off times and volumes Utilize initiative, root cause analysis, and problem-solving skills Show strong control and risk awareness to identify, escalate, control, and mitigate Preferred qualifications, capabilities, and skills Possess securities knowledge, preferably settlements experience Have technical knowledge of securities transaction processing