Capture and process securities lending transactions that were received via different channels; manual, straight-through-entry (STE) and straight-through-processing (STP).
Engaged in Securities Lending operational activity across multiple markets to ensure the highest levels of performance are achieved
Act as a recognized point of contact for Securities Lending borrowers (typically Investment Banks and Prime Brokerage units), communicating effectively to promote a positive reflection of RBC Investor Services to the market....
Capture and process securities lending transactions that were received via different channels; manual, straight-through-entry (STE) and straight-through-processing (STP).
Engaged in Securities Lending operational activity across multiple markets to ensure the highest levels of performance are achieved
Act as a recognized point of contact for Securities Lending borrowers (typically Investment Banks and Prime Brokerage units), communicating effectively to promote a positive reflection of RBC Investor Services to the market....
Responsible for timely and accurate end to end processing of Corporate Actions accordingly to defined SLAs Products covered: Equity, Fixed Income, Funds, Structured Notes
Review process flows and initiate process improvements via change requests, defects
Participate in strategic initiatives and testing...
Responsible for timely and accurate end to end processing of Corporate Actions accordingly to defined SLAs Products covered: Equity, Fixed Income, Funds, Structured Notes
Review process flows and initiate process improvements via change requests, defects
Participate in strategic initiatives and testing...
Responsible for timely and accurate creation of KPI and Operations Control Reports according to defined policies and procedures
Liaison with front office private banking teams, internal departments and different operations teams for service and investigation regarding execution and settlement of trades, delivery of securities, corporate action, payments and receipt of funds, fees, renewal and repayment of loans, documentation scanning and various account and control maintenance functions....
Responsible for timely and accurate creation of KPI and Operations Control Reports according to defined policies and procedures
Liaison with front office private banking teams, internal departments and different operations teams for service and investigation regarding execution and settlement of trades, delivery of securities, corporate action, payments and receipt of funds, fees, renewal and repayment of loans, documentation scanning and various account and control maintenance functions....
Support the delivery and coordination of assigned change initiatives, using standard project management techniques and ensuring stakeholders navigate RBC’s end-to-end change governance framework
Provide project coordination support to the Director and other project leads on assigned initiatives as required.
Work with stakeholders to develop realistic plans and accurate estimates, continuously improving the level of detail and accuracy of estimates....
Support the delivery and coordination of assigned change initiatives, using standard project management techniques and ensuring stakeholders navigate RBC’s end-to-end change governance framework
Provide project coordination support to the Director and other project leads on assigned initiatives as required.
Work with stakeholders to develop realistic plans and accurate estimates, continuously improving the level of detail and accuracy of estimates....
Manage the full settlement lifecycle of OTC Credit and Rates Derivative products across bilateral and cleared trades.
Process OTC Derivative payments and settlements in Murex with meticulous attention to detail. You will manage Murex payment workflow queues daily, building your expertise to ensure that the correct system action is taken and payments are processed correctly downstream.
Pre-confirm large cashflows with clients to prevent settlement issues and ensure accuracy on payment terms. Perform callbacks with clients to ensure 100% accuracy on SSI’s....