Location : Geneva
Start Date : ASAP
Contract : Full-time, Permanent
Key Responsibilities :
Pre-Trade & Live Trading
- Ensure readiness ahead of trading windows; monitor live trading and algo performance in real-time.
- Liaise with executing brokers and internal teams to ensure smooth and timely execution.
Post-Trade & Reconciliation
Oversee trade capture, booking, and confirmations; manage the full trade lifecycle.Resolve breaks with administrators and perform T 1 reconciliations across instruments and venues.Treasury Management
Monitor and optimize cash, collateral, and margin; allocate funds and manage margin calls.Coordinate with prime brokers and custodians to maintain liquidity and operational efficiency.ETF Clearing & Settlement
Manage ETF clearing and settlement in US / EU markets; ensure regulatory compliance and best practices.Collaborate with APs, custodians, and market makers throughout the ETF lifecycle.Corporate Actions & Events
Track and manage corporate events such as dividends, splits, and mergers across the trading universe.Market Coverage
Support global trading operations across EU and US hours through rotational team shifts.Key Qualifications & Experience
Bachelor’s degree in mathematics, computer science, finance, or a related field.Minimum of 5 years’ experience in trading operations, preferably within a quantitative or hedge fund environment, covering both equities and futures.Deep understanding of the full trade lifecycle : pre-trade, execution, post-trade, and reconciliation.Strong hands-on experience with T 1 reconciliation processes.Proven expertise in treasury and cash management in a multi-asset, multi-region trading environment.Familiarity with ETF clearing and settlement processes in US and / or European markets.Excellent organizational and communication skills, with the ability to operate effectively across multiple time zones (EU, US, and late Asian hours).English speakerjid64218eea jit0728a jiy25a