Responsibilities
* Perform trade booking/re-bookings, trade matching and affirmations
* Monitor P&L movements and reconcile difference in real time
* Acknowledge, book and monitor corporate action events
* Liaise with prime brokers, fund administrators and system vendors on trade-related issues and break resolution
* Work closely with PMs and traders on resolving position and trade inquiries globally
*Work closely with operations team across the regions
Required Background & Skills
* 2-7 years of experience in Operations, preferably from sell-side and/or buy-side hedge funds
* Good functional knowledge of front-to-back processes related to trade capture, trade affirmations, lifecycle events, settlement, corporate actions, reconciliations
* Team player with proactive can-do attitude
* Attention to detail and ability to multi-task in a busy environment
* Coding skills (VBA, SQL, Python) would be a plus
* Strong interpersonal and communication skills
* Keen to learn and 'hungry' individual who will be a force for change
