Asset Servicing Analyst (12-month FTC)
About our Company
Peel Hunt are a leading UK investment bank focused on mid-cap and growth companies that puts long-term success above short-term gain, helping good companies succeed and delivering outstanding results. We have three business areas, but we act as one Peel Hunt. Our integrated approach combines expert research and distribution, a range of investment banking services, and an execution services hub that provides liquidity to the UK capital markets.
The Department
The Operations Department is one of the key support functions of the business. It is comprised of five smaller departments, each specialising in different elements of the post trade environment. The teams are responsible for Settlements, Asset Servicing, Investment Operations Support, Client Lifecycle Management and Operational Control.
The Asset Servicing function of the Operations department is responsible for the following:
Processing UK & International Corporate Actions, Dividends and Coupons
Maintaining and updating the dividend/coupon records
Identifying and settling market claims for dividends and coupons
Review event detail from numerous internal and external sources
Undertake daily cash and stock reconciliations
Role responsibilities
Responsibilities and tasks include, but are not limited to:
Perform the end-to-end processing of UK and International Corporate Actions, including dividend and coupon events, ensuring accuracy and timeliness
Efficiently monitor and resolve internal and external cash and stock discrepancies
Review event detail from numerous internal and external sources
Managing the Corporate Actions and Dividends mailboxes
Maintaining and updating the dividend/coupon reconciliation spreadsheet
Identifying and settling market claims
To communicate directly with counterparties, custodians and clients as required
Escalate any issues immediately
Investigate Aged Corporate Action bookings
Responsible for investigating unlisted and delisted stocks
Proactively look for improvements around processes, controls and efficiencies
Job Requirements
Good communication skills to clearly articulate issues and ideas, and to escalate problems to the appropriate level of responsibility
A self-starter, able to act independently on own initiative as and when required
Minimum 5 years experience in Asset Servicing
Understanding of market risk
Crest GUI experience
Advanced Microsoft Excel Knowledge
Understanding of BNP platform Neolink is advantageous
Understanding of ProxyEdge is advantageous
- Department
- Operations
- Role
- Asset Servicing Analyst
- Locations
- London