Imported from previous forum
Position based in Sydney with an investment bank
Uploading of trade feeds to back office system, ftp of data files, "End of day"
Processing, automation of broker reconciliations
Daily review / control and sign off on all aspects of Offshore / SFE / ASX and CFD reconciliations
Risk Management (Control of margin funding, treasury payments and short options)
Position reporting to all exchanges
Broker liaising for account maintenance (Interest / Commissions etc)
Establish new Broker relations, opening of new clearing broker a/cs for new products
Client relationship management
General staff management (including annual staff reviews and performance monitoring
Interested parties please send email with current resume to Gavin.Pugh@tardisgroup.com.ai