Cash Reconciliation and Clearance Operations Analyst

Role Title: Cash Reconciliation andamp; Clearance Operations Analyst Location: London, UK 12 month contract Role Purpose The Cash Reconciliation andamp; Clearance Operations Analyst is responsible for ensuring timely and accurate reconciliation of cash accounts and the clearance of outstanding items within the Asset Servicing team. The role supports institutional clients by safeguarding asset integrity, mitigating operational risk, and ensuring adherence to regulatory requirements and internal controls. This role requires strong analytical skills, attention to detail, and the ability to work under pressure in a fast-paced environment, while collaborating with global stakeholders across Operations, Custody, and Finance functions. Key Responsibilities Perform daily and periodic cash reconciliations across multiple markets, currencies, and custodians, investigating breaks and discrepancies. Monitor and clear outstanding items in a timely manner to minimize operational and financial risk. Liaise with internal teams (Custody, Settlements, Asset Servicing, Finance) and external counterparties to resolve reconciliation issues and ensure accurate cash positions. Escalate aged and material breaks in line with internal policies and provide commentary on root causes and resolution timelines. Support end-to-end reconciliation and clearance controls in accordance with regulatory requirements (eg, CASS, FCA guidelines) and internal risk frameworks. Prepare and deliver reporting on reconc
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