International Investment Dealer

Job Description

Duties include:
Accurately and effectively place and authorise multi currency deals on behalf of International clients including: Equity trades; Unit Trusts; Hedge Funds; Internal funds (for Bond and Life products); Fixed Deposits – Structured Notes; Fund Platforms; Currency conversions
Answer all investment related queries raised by customers, brokers, stockbrokers, custodian and fund managers
Manage and maintain relationships with stockbrokers, custodian, key business partners and customers
Regular review of dealing and switches procedures, process risk and control logs, and introduction of improvements within regulatory guidelines and company policy

Skills and experience required:
CISI Investment Operations Certificate within 2 years of commencing role
Understanding of the stock market and International markets
Fully competent with Microsoft packages and experience using Rhymesight, Bloomberg, Citibank and Fundsettle systems advantageous
High degree of accuracy and attention to detail
Ability to work under pressure to meet strict deadlines
Highly analytical/numerate with strong problem solving skills
Excellent written and verbal communication skills
Ability to prioritise and manage time effectively
Ability to work effectively as part of a team, individually and with team managers