Operations Specialist
The Operations Specialist role involves managing the full trade lifecycle, cash and liquidity management, and fund operations within a structured control framework. The position supports investor servicing, risk monitoring, and aims to optimise operational efficiency in a global markets environment.
The organisation operates in the financial sector, focusing on fund administration and asset management services. It maintains a commitment to accuracy, compliance, and process automation, fostering a disciplined and detail-oriented working culture.
Role Overview
The Operations Specialist works within a team responsible for executing trade capture, affirmation, confirmation, and settlement across multiple asset classes including futures, equities, fixed income, and FX. The role includes reconciling cash and positions daily, investigating breaks, and verifying NAVs independently. Additionally, the specialist processes cash and securities transfers, manages cash and liquidity forecasting, and supports onboarding and compliance activities. Success is measured by precise execution, timely reporting, and effective collaboration with risk, compliance, and external service providers. The role offers opportunities to gain end-to-end operational ownership and contribute to process automation initiatives.
Key Skills & Experience
- Manage trade capture, affirmation, confirmation, and settlement processes across global markets
- Conduct daily cash, position, and broker reconciliation
- Investigate and clear breaks; maintain exception logs
- Process cash and securities transfers under authorisation and controls
- Support investor onboarding, subscriptions, redemptions, and compliance-related activities
- Produce and interpret daily exposure and limit-monitoring reports
- Automate reconciliation and reporting workflows using Python/SQL and AI tools
- Partner with desks, risk, compliance, and third-party providers
Nice to Have
- Experience with Python, SQL, or AI automation tools in operations
Key Responsibilities
- Execute trade capture, affirmation, confirmation, and settlement activities across multiple asset classes
- Perform daily reconciliation of cash, positions, and broker reports
- Investigate and resolve reconciliation breaks and discrepancies
- Process cash and securities transfers while ensuring compliance with controls
- Support investor onboarding processes and maintain investor records
- Produce daily risk and limit monitoring reports; escalate breaches
- Develop and maintain automated workflows and SOPs for operational tasks
- Collaborate with internal teams and third-party providers to ensure smooth operations
Requirements
- Right to work in Asia
- Proven experience in fund operations, trade support, prime brokerage, or fund administration
- Solid knowledge of markets including futures, equities, fixed income, and FX
- Ability to work on-site in an Asian location
- Competent in managing tasks independently with high attention to detail
If you have the relevant skills and experience, please apply with an updated CV.
