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Associate II - Prime Client Operations

Join our dynamic team as a Client Service Delivery Associate I and become a vital part of our mission to elevate client experiences.

As an Client Service Associate I within the Prime Client Operations team, you will serve as the primary point of contact for Prime Brokerage clients, addressing their trade and settlement needs.

You will work closely with internal and external partners to identify inefficiencies and drive improvement initiatives.

Additionally, you will have the opportunity to train clients on new technologies and reporting processes, contributing to the continuous enhancement of our services.

You will leverage your broad knowledge of banking principles and practices to make informed decisions that impact our team and departmental goals.

Your developing ability in strategic planning, conflict management, and digital literacy will be key in driving our service delivery forward.

This role is an opportunity to apply your skills in a dynamic environment, contribute to team objectives, and enhance client relationships.

Job responsibilities



* Provide comprehensive client service by addressing inquiries, processing transactions, and troubleshooting issues, utilizing your proficiency in strategic planning and digital literacy.


* Protect both the client and the institution from potential financial and reputational damage.


* Contribute to the change management process, assisting in strategic communications and stakeholder impact mitigation to ensure smooth transitions during operational changes.


* Utilize your knowledge of market products to provide informed advice to clients, maintaining an understanding of current industry practices and regulations.


* Participate in the development and implementation of process automation initiatives, applying systems architecture and automation technologies to optimize service delivery.


* Provide single point of contact for Prime Brokerage clients for all their Trade management and Settlements related needs.

products in scope are "Equity, FI, REPO, and Options.",


* Process client trades files, monitor Trade Exception Manager and sign off for end of day batch Process ensuring timely and accurate client reporting


* Monitor daily work flow queues and adhere to SLAs in place, report and escalate any issues or system outages, provide timely updates to all internal and external stakeholders


* Partner with clients and internally with technology, strategy and transformation teams to help identify external and internal inefficiencies and manage improvement opportunities (Straight through Processing and Settlement Efficiency)


* Train clients on usage of recent technology and reporting processes, represent Operations on client visits and scorecard reviews


* Adhere to firm policy and procedures/controls and adhere to Client confidentiality framework

Required qualifications, capabilities, and skills



* 5+ years of experience or equivalent expertise in a ...




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