Job Description
Summary: Target Start Date: 5/4/26 Work Mode: Hybrid schedule (mandatory 3 days onsite) Responsibilities: Resolve daily risk items with limited direction. Prioritize, report, and collateralize high-value exposures and settlement exceptions. Process recall requests, input wires, process journals, and resolve reconciliation breaks. Assist in prematching future dated trades and agree on the cash value of trades with external clients. Apply cash value in internal systems and ensure settlement. Work independently on process improvements and adapt to business/regulatory demands. Requirements: Strong multitasking skills. Attention to detail. Ability to escalate issues timely. Effective communication skills. Ability to thrive in high-pressure, high-volume environments. Preferred Skills: Bachelor's degree or equivalent experience. Previous experience in a securities lending operations team is a bonus. Benefits: No parking fees.