JOB SUMMARY / INTRODUCTION
To ensure that all Capital Markets related transactions executed by the Global Markets department are successfully matched, validated, confirmed and settled within the agreed timeframes in the appropriate systems. To ensure that all life cycle events are captured, booked and instructed accurately. To monitor all breaks derived from the reconciliation report, to resolve them and to escalate where necessary.
Products handled by Capital Markets team include:
HNI settlement for Bonds, Equities, Gold Bullion and corporate action.
KEY RESPONSIBILITIES
Teamwork
Provide inputs and implement policies, systems and procedure for the assigned team so that all relevant procedural/legislative requirements, fulfilled while delivering a quality, cost-effective service.
Continuous Improvement
Participate in the identification of opportunities for continuous improvement and sustainability of systems, processes and practices considering global standards, productivity improvement and cost reduction.
Reporting
Prepare sectional statements and reports timely and accurately to meet FAB and department requirements, policies and quality standards.
Specific Accountability
Staff should be aware of and adhere to any regulations as defined by the jurisdiction in operation.
The Validation & Confirmation of Global Market Trades
Ensure all Securities trades are uploaded into Euroclear, Clearstream, JP Morgan and Stanbic ready for settlement.
The Settlements of the Global Market Trades
Ensure all coupons and corporate actions are settled on time.
General
Provide required support for all FAB International Locations Centralized within head office Global Market Operations.
Frameworks, Boundaries & Decision-Making Authority
Authorized to take decisions as per the approved authorization matrix.
REQUIREMENTS / QUALIFICATIONS
Minimum Qualification
Bachelor’s degree in business, Accounting or related discipline.
Minimum Experience
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