
at J.P. Morgan
Bulge Bracket Investment BanksPosted 4 days ago
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**Equities Prime Trading Assistant - Associate**: Manage key trade lifecycle events, ensuring accurate processing and resolution of breaks across APAC markets. Key responsibilities include trade capture, allocation, settlement, and reconciliation, collaborating with traders and infrastructure teams to maintain robust controls. Essential skills: 3+ years in finance ops, cash equities workflows, problem-solving, and proficient in Excel. Enhance trading operations, work under pressure, and learn continuously. *Location: Kwun Tong, Kowloon, Hong Kong* *Job Type: Full-time* *Experience: Associate level, 3 years in finance/banking operations*
- Compensation
- Not specified
- City
- Hong Kong
- Country
- Hong Kong
Currency: Not specified
Full Job Description
Location: Kwun Tong, Kowloon, Hong Kong
Ready to work at the heart of equity trading in Asia-Pacific? Join a team where your precision, problem-solving, and partnership with traders keep markets moving smoothly. Youll gain end-to-end exposure to the trade lifecycle, develop strong risk and control discipline, and contribute to process improvements. Grow your career in a collaborative environment where ownership and learning are valued.
As an Equities Prime Trading Assistant - Associate within Equities Operations, you will support trading activity across Asia Pacific markets by managing key trade lifecycle events and ensuring accurate trade capture, allocation, settlement, and reconciliation. You will collaborate closely with traders and infrastructure partners to resolve discrepancies, manage risk, and maintain robust operational controls. You will also contribute to strategic initiatives that improve processes and strengthen the trading operating model.
Job responsibilities
- Support day-to-day trading operations across Asia Pacific markets
- Complete intraday and end-of-day processes to ensure accurate capture of new trading activity
- Manage trade lifecycle events, including trade capture, allocations, settlements, and reconciliations
- Allocate exchange, broker, and principal fills accurately to client orders
- Investigate and resolve trade-related breaks and exceptions under time pressure
- Partner with infrastructure teams to resolve discrepancies and improve trade processing outcomes
- Communicate effectively across teams to identify and address real-time risk and control issues
- Maintain strong control discipline with consistent focus on accuracy and precision
- Prioritize multiple requests and manage workloads in a fast-paced environment
- Provide clear updates and escalation to traders and partners as needed
- Contribute to strategic initiatives that enhance processes and business architecture
Required qualifications, capabilities, and skills
- Bachelors degree in business, finance, economics, or a related discipline
- At least 3 years of experience in Finance or Banking Operations roles
- Understanding of cash equities workflows, including depositary receipt conversions and foreign exchange impacts
- Familiarity with listed options and futures operations
- Knowledge of trade lifecycle management and operational risk mitigation
- Strong problem-solving skills and attention to detail
- Effective communication skills with ability to partner with traders and functional teams
- Ability to prioritize tasks and manage multiple requests simultaneously
- Proficiency in Microsoft Excel, including advanced formulas and pivot tables
- Commitment to continuous learning and staying current on market practices
Preferred qualifications, capabilities, and skills
- Familiarity with trading systems and ability to learn new technologies quickly.
- Prior experience in equities trade support, client services, or Profit and Loss (P&L) reporting.
- Fluency in an Asian language is a plus.



