What is the opportunity?
The securities operations department provides custody and settlement services for clients of RBC in the British Isles. You will be part of the Fund Operations team responsible for submitting trade instructions to various fund managers and agents for clients across the organisation.
The successful candidate will be involved in running daily control reports, confirming trade instructions with funds, managing the in-house database of fund information, and overseeing the transfer workflows relating to client instructions. They will also be responsible for ensuring client trades and queries relating to these are processed in good time.