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الوصف الوظيفي

Job Title


APAC Cash Operations Analyst

Job Description


So, who are we?


Hello, we're IG Group. We are a publicly-traded FTSE250 FinTech company who run mobile, web and desktop platforms that help our clients trade stocks & shares, leveraged products, Futures & Options and Crypto.


We are ambitious. Over 340,000 people already use our platforms. We're global with offices in 18 countries and products in 16 regions. We're hungry to move faster, ship better product for our customers and grow our user base. We believe in high autonomy, and we want people who are looking to do things differently in order to create better experiences for our customers.


We work in cross-functional teams and are laser focused on increasing the number of active clients we serve to drive sustainable growth.


Your team


The APAC Cash Operation team will predominantly be supporting the cash function for APAC, including Singapore, Australia, Japan, India, Dubai and Emerging Markets.  However, the team will also be working with its counterpart in Poland who is responsible for IG’s cash function for the EMEA and NA regions.  The two cash operations teams are required to work together closely to ensure that IG’s cash function globally is running smoothly and is compliant with the local regulations and its internal policies.


Your role in the Team's Success


As a member of the APAC Cash Operations team, you will be involved in completing daily cash reconciliation and cash resources projection. We will provide you with dedicated training to equip you with the necessary skills to excel. The role reports to the APAC Cash Operations Manager.


What you'll do


As an APAC Cash Operation Analyst, your roles and responsibilities will be:


  • Complete daily asset and cash reconciliations promptly, meeting all deadlines, and investigate any discrepancies, ensuring timely resolution through communication with relevant parties.


  • Accurately prepare daily client money segregation transfers within the required timeframe.


  • Report any breaches or control failures to the supervisors without delay.


  • Complete daily cash management projections to ensure liquidity is maintained within internal limits.


  • Ensure daily payments are prepared and authorized before the cut-off time.


  • Stay up to date with internal policy changes and regulatory updates.


  • Maintain and update process documentation.


  • Provide assistance during internal and external audits, as well as compliance testing.


  • Support with other ad-hoc tasks and administrative duties as needed.


What you'll need for this role


We are looking for self-starting, enthusiastic team-player who will be willing and able to help colleagues at peak-times. We are looking for below skills:


  • Proficient in Microsoft Office with intermediate Excel skills. Confidence in writing simple VBA macros in Excel is an advantage
  • Flexible to start at 6.30 am India time
  • Willingness to work on India public holidays
  • Over 2 years of experience within Financial Services is must. 
  • Experience in reconciliation or cash management preferred. 
  • Minimum of a BA degree (Business, Finance, Management or Economics preferred) 
  • Proficiency in English. 
  • Exceptional attention to details
  • Strong time management skills and ability to perform under pressure in a fast-paced environment
  • Demonstrates clear and concise verbal and written communication skills
  • Capable to work independently while also being a strong team player
  • Adaptable to change and flexible in approach
  • Strong numerical and analytical abilities
  • Proactive in identifying and driving process improvements
  • Fairly outgoing personality, with the ability to connect and collaborate with colleagues across the organization

How we work:


We try to take a thoughtful approach to our ways of working as a company. We follow a hybrid working model with 3 days in the office -- which we think balances the need to collaborate effectively and connect with each other. When it comes to how we deliver, there are 5 things we want everyone to do to drive high performance, better learning and career satisfaction:


  • Lead and Inspire: Drives trust, alignment, and enthusiasm
  • Think Big: Focus on the problems that most impact commercial outcomes
  • Champion the client: Understand and prioritise client's needs
  • Deliver at pace: Push for fast, sustainable growth;
  • Raise the bar: Take ownership, be accountable and share feedback

We believe that diversity is vital to success, it fuels creativity, drives innovation and sets us up for global success. We're committed to building teams with a variety of perspectives and skills to help us realise our vision and strategy, that's why we encourage applications from people with diverse backgrounds and experiences to join us on this journey. Learn more about our D&I approach here.


The Perks


Your growth fuels our success! Thrive with tailored development programs, mentoring opportunities with leaders, and clear career progression. Expand your network through committees, sports and social clubs. Enjoy extra time off for volunteering and community work.


Learn more about the Perks here!


Join us for this exciting journey. Apply now!


Number of openings


1
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