Full Time, Permanent Posted June 14, 2026
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Job Description

Roles and Responsibilities

  • Ensuring Confirmation of Clearing House Trades on Exchange is done on timely basis.

  • Ensuring all the Contract Notes received from Broker are processed.

  • Ensuring Exchange Orders received are processed.

  • Early Pay-In of Securities and Funds.

  • Margin Payment of Funds.

  • Processing instructions on NSDL.

  • Processing of Hand Delivery Trades.

  • Processing of Corporate Debt Trades.

  • Interacting with Brokers & Exchanges.

  • Ensuring Client reports are sent on timely basis.

  • Processing of trades for PMS clients.

  • Processing of trades for FDI clients.

  • Responsible to ensure clean Audits.

  • Responsible for having Standard Operating Procedures and Checklists are in place for every activity.

  • Respo...

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