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Operations Administrator

ExperiencedNo visa sponsorship
BGC Partners logo

at BGC Partners

Other

Posted 2 days ago

No clicks

**Operations Administrator – Dublin, Leinster, Ireland** Manage end-to-end transaction lifecycles in a regulated financial services environment. Key responsibilities include timely, accurate equity, bond, and other market trade settlements; client transaction support; and regulatory compliance. Proactively address exceptions, settlement risks, and ensures high service standards. Leverage technology, automation, and AI tools to enhance efficiency and reduce risk. require a **Senior Operations Professional** with **5+ years** in settlements or operations roles. Demonstrate operational expertise, strong attention to detail, and ability to manage high-volume workflows. Proficient in Microsoft Office; Excel. Desirable: fund operations experience, AI/automation exposure, regulatory/audit familiarity. Full-time role, report to Operations Stock Team Leader.

Compensation
Not specified

Currency: Not specified

City
Dublin
Country
Ireland

Full Job Description

Location: Dublin, Leinster, Ireland

Role Overview

The role is accountable for the operational processing and control of settlements, fund-related activity, and client transactions, supporting endtoend transaction lifecycles within a regulated financial services environment.

This role requires a flexible and versatile operations professional who can operate across multiple processes, support business continuity through crosstraining, and respond effectively to changing volumes and priorities.

The successful candidate will demonstrate strong operational expertise, a clientcentric mindset, and the ability to leverage technology, automation, and AIenabled tools to enhance efficiency, reduce risk, and improve data quality in a regulated financial services environment.

 

Key Objectives

  • Ensure timely, accurate settlement of equity, fixed income, and related asset class transactions
  • Support client transaction lifecycles and fund operations activities, ensuring transparency, accuracy, and strong controls
  • Proactively manage exceptions, breaks, and settlement risks in collaboration with internal and external stakeholders
  • Contribute to operational excellence through continuous improvement, automation, and AIsupported workflows
  • Maintain high service standards aligned to client expectations, regulatory requirements, and internal policies

Responsibilities

Key Responsibilities

Trade Settlement & Transaction Management

  • Process and settle equity, bond, and other market trades in line with market deadlines and internal procedures
  • Perform daily input, validation, monitoring, and control of executed trades across multiple systems
  • Ensure all transactions are captured accurately and in line with Transaction Reporting and regulatory requirements
  • Investigate and resolve settlement failures, mismatches, and exceptions, performing root cause analysis where required

     

Client Transactions & Fund Operations Support

  • Support the endtoend processing of client transactions, including subscriptions, redemptions, and related fund activity where applicable
  • Liaise with Front Office, Fund Accounting, Custodians, Brokers, and Transfer Agents to resolve trade, settlement, or fund-related issues
  • Maintain strict service levels and responsiveness for clientdriven activity
  • Provide operational support for fund lifecycle events such as corporate actions, income events, and reconciliations

     

Controls, Risk & Regulatory Support

  • Ensure adherence to internal policies, operational controls, and escalation frameworks
  • Support audit, compliance, and regulatory reviews through accurate recordkeeping and timely responses
  • Escalate unresolved issues or material risks in a timely and proportionate manner

     

Reporting, Data & AI Enablement

  • Produce daily, weekly, and monthly operational, client, and fundrelated reporting
  • Use data analytics, automation tools, and AIassisted solutions to improve exception management, reconciliations, and reporting accuracy
  • Participate in initiatives focused on straightthrough processing (STP), data quality improvement, and operational resilience

     

Continuous Improvement & Team Contribution

  • Identify opportunities for process efficiencies, automation, and quality enhancements
  • Assist in the development and maintenance of procedures and bestpractice documentation
  • Support departmental training, onboarding, and knowledge sharing initiatives

Qualifications

Key Requirements

Essential

  • Minimum 5 years experience in settlements, middle office, or operational roles within financial services
  • Strong understanding of trade lifecycles, operational controls, and posttrade processing
  • Excellent attention to detail with strong numerical and analytical capability
  • Proven ability to prioritise deadlines and manage highvolume workflows
  • Strong investigative and problemsolving skills with a proactive mindset
  • Team player with strong interpersonal and communication skills
  • Proficient in Microsoft Office, particularly Excel (reconciliations, analysis, reporting)
  • Selfstarter, resultsdriven, and committed to delivering highquality outcomes

     

Desirable

  • Experience supporting fund operations or collective investment structures
  • Understanding of equities, fixed income, and derivatives products
  • Exposure to automation, AI tools, or datadriven operational improvements
  • Regulatory or audit experience within a controlled financial services environment
  • Thirdlevel qualification in Business, Finance, Economics, or a related discipline
Job Title: Operations Administrator Department: Operations Location: Dublin, Ireland Reporting to: Operations Stock Team Leader Employment Type: Full Time, Permanent

Operations Administrator

Compensation

Not specified

City: Dublin

Country: Ireland

BGC Partners logo
Other

2 days ago

No clicks

at BGC Partners

ExperiencedNo visa sponsorship

**Operations Administrator – Dublin, Leinster, Ireland** Manage end-to-end transaction lifecycles in a regulated financial services environment. Key responsibilities include timely, accurate equity, bond, and other market trade settlements; client transaction support; and regulatory compliance. Proactively address exceptions, settlement risks, and ensures high service standards. Leverage technology, automation, and AI tools to enhance efficiency and reduce risk. require a **Senior Operations Professional** with **5+ years** in settlements or operations roles. Demonstrate operational expertise, strong attention to detail, and ability to manage high-volume workflows. Proficient in Microsoft Office; Excel. Desirable: fund operations experience, AI/automation exposure, regulatory/audit familiarity. Full-time role, report to Operations Stock Team Leader.

Full Job Description

Location: Dublin, Leinster, Ireland

Role Overview

The role is accountable for the operational processing and control of settlements, fund-related activity, and client transactions, supporting endtoend transaction lifecycles within a regulated financial services environment.

This role requires a flexible and versatile operations professional who can operate across multiple processes, support business continuity through crosstraining, and respond effectively to changing volumes and priorities.

The successful candidate will demonstrate strong operational expertise, a clientcentric mindset, and the ability to leverage technology, automation, and AIenabled tools to enhance efficiency, reduce risk, and improve data quality in a regulated financial services environment.

 

Key Objectives

  • Ensure timely, accurate settlement of equity, fixed income, and related asset class transactions
  • Support client transaction lifecycles and fund operations activities, ensuring transparency, accuracy, and strong controls
  • Proactively manage exceptions, breaks, and settlement risks in collaboration with internal and external stakeholders
  • Contribute to operational excellence through continuous improvement, automation, and AIsupported workflows
  • Maintain high service standards aligned to client expectations, regulatory requirements, and internal policies

Responsibilities

Key Responsibilities

Trade Settlement & Transaction Management

  • Process and settle equity, bond, and other market trades in line with market deadlines and internal procedures
  • Perform daily input, validation, monitoring, and control of executed trades across multiple systems
  • Ensure all transactions are captured accurately and in line with Transaction Reporting and regulatory requirements
  • Investigate and resolve settlement failures, mismatches, and exceptions, performing root cause analysis where required

     

Client Transactions & Fund Operations Support

  • Support the endtoend processing of client transactions, including subscriptions, redemptions, and related fund activity where applicable
  • Liaise with Front Office, Fund Accounting, Custodians, Brokers, and Transfer Agents to resolve trade, settlement, or fund-related issues
  • Maintain strict service levels and responsiveness for clientdriven activity
  • Provide operational support for fund lifecycle events such as corporate actions, income events, and reconciliations

     

Controls, Risk & Regulatory Support

  • Ensure adherence to internal policies, operational controls, and escalation frameworks
  • Support audit, compliance, and regulatory reviews through accurate recordkeeping and timely responses
  • Escalate unresolved issues or material risks in a timely and proportionate manner

     

Reporting, Data & AI Enablement

  • Produce daily, weekly, and monthly operational, client, and fundrelated reporting
  • Use data analytics, automation tools, and AIassisted solutions to improve exception management, reconciliations, and reporting accuracy
  • Participate in initiatives focused on straightthrough processing (STP), data quality improvement, and operational resilience

     

Continuous Improvement & Team Contribution

  • Identify opportunities for process efficiencies, automation, and quality enhancements
  • Assist in the development and maintenance of procedures and bestpractice documentation
  • Support departmental training, onboarding, and knowledge sharing initiatives

Qualifications

Key Requirements

Essential

  • Minimum 5 years experience in settlements, middle office, or operational roles within financial services
  • Strong understanding of trade lifecycles, operational controls, and posttrade processing
  • Excellent attention to detail with strong numerical and analytical capability
  • Proven ability to prioritise deadlines and manage highvolume workflows
  • Strong investigative and problemsolving skills with a proactive mindset
  • Team player with strong interpersonal and communication skills
  • Proficient in Microsoft Office, particularly Excel (reconciliations, analysis, reporting)
  • Selfstarter, resultsdriven, and committed to delivering highquality outcomes

     

Desirable

  • Experience supporting fund operations or collective investment structures
  • Understanding of equities, fixed income, and derivatives products
  • Exposure to automation, AI tools, or datadriven operational improvements
  • Regulatory or audit experience within a controlled financial services environment
  • Thirdlevel qualification in Business, Finance, Economics, or a related discipline
Job Title: Operations Administrator Department: Operations Location: Dublin, Ireland Reporting to: Operations Stock Team Leader Employment Type: Full Time, Permanent