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Location
karachi division, sindh, Pakistan
Posted
July 03, 2026

Job Description

Responsibilities

  • Ensuring all trades are processed as per SOP adhering to the cut-offs.
  • Ensuring all trades are settled within the stipulated cut-offs.
  • Good Knowledge for Trade settlement activities related to Bonds, Equities & Mutual fund processing.
  • Ensuring all MI reports for Business, Quality and Sales Governance are compiled within the agreed TAT.
  • Periodically assist in the training of the new staff in the team.
  • Assist in revision of SOPs for all related processes.
  • Promptly revert to customer and RM queries.
  • Ensuring ONR MI is sent on a daily basis and ageing items are escalated.
  • Ensuring all reconciliations are completed on time and exceptions are identified and resolve the securities and cash breaks on timely manner.

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