Opportunity Description
Responsibilities
- Manage the daily client money reconciliations & controls for APAC exchanges and ensure compliance with the regulations of the relevant jurisdictions.
- Ensure all regional regulatory reporting is completed accurately and on a timely basis.
- Identify, investigate and explore relevant internal or external data sources / datasets / technologies to assist with process improvement and data analysis.
- Participate in process improvements or BAU (business as usual) change topics/projects as required.
- Handle daily transactional activities, position & event management and ensure their completion on a timely manner
- Handle direct client’s transactional queries, perform investigation for proper resolution &/or direct them to appropriate teams as appropriate.
- Develop an expertise of the Societe Generale business and organization, as well as the general Clearing business to have an adequate understanding of the ...
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Submit your application for Trainee – 12 months’ contract – Listed Reconciliation & Delivery APAC at SOCIETE GENERALE
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