Contact Jonathan about this job
Find a Job
|Location||City of London|
Inputting investment cashflows on in-house database.
Approving the transaction entry of analysts at the 1st approval stage.
Sending payment request and receipt notices to third party administrators and clients.
Investigating and resolving any cash breaks between the in-house database and the investors bank accounts.
Resolving ad-hoc queries from internal teams.
Identifying areas for improvement in existing processes.
Working independently on individual projects and seeing them through to completion.
Good knowledge of MS Office - Excel.
Previous experience in trade support or a back office team on either buy or sell side is desirable.
Experience of large-scale data entry work.
If you think you have the skills required and would like to apply, please submit your CV or contact Jonathan Ross at BRUIN Financial (Jonathan.Ross@bruinfinancial.com)
Ready to apply for this job? Apply Now