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Mashreqbank PSC

Job Details

Job description

Job Purpose
Support equity products and brokerage operations by ensuring accurate trade processing, reconciliation, and reporting. Assist with system maintenance, data integrity, and process enhancements.


Key Result Areas
•    Process and reconcile daily equity trades such as client orders, adjustments, and corrections.
•    Maintain product and system parameters such as market listings, tick sizes, and fee schedules.
•    Produce operational reports such as trade reconciliations, breaks, and activity dashboards.
•    Liaise with exchanges, custodians, and counterparties to resolve settlement or corporate-action issues.
•    Support testing and implementation of operational system changes and enhancements.



Knowledge, Skills and Experience
•    2–4 years’ experience in brokerage or financial operations.
•    Understanding of trade lifecycle, settlements, and corporate actions.
•    Strong attention to detail and Excel/brokerage-system skills.
•    Degree in Finance, Accounting, or related field.



The leading financial institution in MENA
While more than half a century old, we proudly think like a challenger, startup, and innovator
in banking and finance, powered by a diverse and dynamic team who put customers first.
Together, we pioneer key innovations and developments in banking and financial services.
Our mandate? To help customers find their way to Rise Every Day, partnering with them through
the highs and lows to help them reach their goals and unlock their unique vision of success.
Delivering superior service to clients by leading with innovation, treating colleagues with dignity and fairness while pursuing opportunities that grow shareholders value. 
We actively contribute to the community through responsible banking in our mission to inspire more people to Rise.

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