FX Settlements -Nomura Operations
Core
Process FX trade confirmations, settlements, and reconciliations; manage SSI setups, payment Swifts (MT 202, MT210), CLS handling, and post-settlement recon.
Role type
Analyst, FX Settlements Operations
Builds
FX trade lifecycle processing for banking and financial services clients
Domain
Financial Services / FX Operations
Deliverable
client delivery
Required skills
FX trade processing, SSI setups, Payment Swifts (MT 202, MT210), CLS handling, Post Settlement Recon, MIS Reporting
Responsibilities
FX Trade processing (confirms, settlement, recon), SSI setups, Payment Swifts (MT 202, MT210), CLS handling, Post Setlement Recon, MIS Reporting
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