Responsibilities
Ensure accurate settlement of international equity trades, with some debt exposure.
Manage trade queries from trading desks, clearers, clients, and their clearers.
Monitor and report settlement fails to senior management and trading desks.
Report risk and funding requirements across supervised markets.
Use and maintain key systems such as FIS Phase3, FIS STN, Intellimatch, Swift, DTC, and clearer portals.
Stay vigilant to Conduct Risk issues, safeguarding client interests, market integrity, and fairpetition.
Skills & Experience Required
Essential:
Strong market knowledge and understanding of the execution broker's role within the market.
Excellentmunication skills, both internally and externally, with direct interaction across trading desks, clearers, clients, and global post-trade teams.
Ability to work effectively within a team of 8, while also managing individual priorities and front-to-back processes.
Familiarity with systems such as Fidessa, FIS Phase3/STN, Bloomberg, Crest GUI, Global One, Swift, DTC, and clearer portals.
Personal Attributes
Strong team player across Operations and wider departments.
Clear, professionalmunicator.
Proactive in managing workloads, resolving issues, and escalating where required.
Highly organised and thorough in approach.
Agency Notice:
Cantor Fitzgerald & affiliates do not accept agency resumes. Please do not forward resumes to our job alias, employees or any otherpany location. Cantor Fitzgerald & affiliates are not responsible for any fees related to unsolicited resumes. Please contact the Recruitment function for additional details. Job ID 300000695723397