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I know I'm exposing my ignorance, but what's FO, MO and BO?

The job description says:
*Input, evaluate and confirm purchases and sales of securities with brokers. Maintain a process sufficient to meet corporate needs.

*Direct brokers on the settlement of fixed income securities. Direct custodians daily on settlement of fixed income securities (various margins) and wire of monies.

*Enter security and/or trade data into necessary systems including, but not limited to, Portia, PAMS and Bloomberg. Provide all internal and external parties with information adequate for their needs.

*Ability to analyze and understand various types of exotic fixed income securities.

*Settle problem or delayed trades efficiently and effectively which will involve direct correspondence with brokers and other external parties.

*Develop and maintain relationships with brokers and custodian banks to resolve issues and to obtain daily balances and transactions.

*Analyze and process various investment information and transactions including variable rates, factors, paydowns, coupon payments and corporate actions and broker record documentation.

*Administer and reconcile security transfers related to new clients or funds, renegotiations and rollovers.

*Maintain necessary client and broker records such as delivery and wire instructions.

*Works closely with other departments such as Reconciliation, Data Management, Portfolio Management, Stable Value, etc.

*Perform and/or oversee data entry functions.

*Assist with the development of systems enhancements or modifications to improve settlement/trading process.

*Support special projects for clients and/or management.

*Oversee and evaluate intern and other temporary staff to successfully accomplish full needs of the group.

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