each day. Upload confirmations to Docusign and secure the necessary signatures. Confirm all new and existing settlement. Validate all settlements daily, investigating and resolving exceptions with the Front Office settlement. Perform daily cash reconciliations, investigating and resolving any discrepancies. Verify that daily script and position reconciliations, investigating and resolving any discrepancies. Manage operational operational functions effectively to minimize financial losses. Manage transactional costs efficiently. Post cash
each day. Upload confirmations to Docusign and secure the necessary signatures. Confirm all new and existing settlement. Validate all settlements daily, investigating and resolving exceptions with the Front Office settlement. Perform daily cash reconciliations, investigating and resolving any discrepancies. Verify that daily script and position reconciliations, investigating and resolving any discrepancies. Manage operational operational functions effectively to minimize financial losses. Manage transactional costs efficiently. Post cash
related documents and presentations. Assist in securing finance for projects from debt and equity markets