Cash Securities Settlements Oversight Manager 121396
We Offer Group Operations carries out high-quality and efficient banking services to clients across the Business divisions ensuring an excellent execution of millions of transactions every day. We operate globally in four regions - 'Switzerland', 'APAC', 'Americas' and 'UK Entities, Wroclaw & Dublin'. We apply a continual focus on improving productivity and efficiency while seeking new and innovative ways to support clients' changing needs. Opportunity to define and deliver bank wide initiatives. Development of project management skills by determining & maintaining key project artifacts. Chance to partner with Operations and program/work stream managers to define scope/business requirements. Supporting project lead with prioritization and decision-making to meet project landmarks. Exposure to senior management team. Opportunity to expand knowledge and skill set. We Offer:Supervisory roles control, oversight and escalation point of deployed functions of core processing roles, covering: Responsible for overseeing the daily completion of all the functions and tasks performed by the teams. Managing improvements to the processes and procedures performed by the teams. Overseeing risk for the group utilizing KRI reporting, metrics and daily ad hoc reviews of process queues and spot checks. Ensuring all regulatory aligned tasks are completed in agreed timeframes such as Client Assets. Checking all queues, control reports and team email inbox's are completed in correct time frames for the team including Payment releasing, ExMan releasing, Cash Management advices. Manage escalations from all internal and external counterparties and stakeholders. Support Management and represent the firm at external meetings/forums including Agent Bank Service reviews, CCP partnership meetings and AFME. Support Management and represent the firm at internal meetings/forums including BRCMs, FOBOs. Support Management on internal systemic and architectural changes. This is a role for a cash securities settlements team based in London. The team of 14 is responsible for trade settlements across the EMEA settlement locations covering all IB entities of Credit Suisse utilising in house and external settlement platforms. An ability to multitask, prioritize, complete checklists whilst working to strict deadlines is an essential requirement. Responsibilities within the team include the generating of instructions, open trade reconciliations, pre-matching, fails management, delivery & depot management. This is performed with the use of exception queues, delivery management tools & direct access to the self-clearing portal. Self-motivated individual that can work on own initiative and deliver on time whilst also being a team player. A pro-active approach is expected that will challenge processes whilst working with the business providing a quality customer service on a daily basis. This will involve daily contact with both trading desk and external customers. Open to discussing flexible/agile working. You Offer Details knowledgeable on the Cash Security Settlements functions and processes essential. Proven ability of continuous identification of and drive to improve processes and procedures. Proven ability to maintain the control environment and take leadership in resolving complex, technical and global processing issues. Demonstrated ability to operate as escalation point both into and out of the department. Demonstrated ability to take ownership and accountability for actions and decisions by self and on-behalf of the wider team. Ability to represent the department at internal and external forums. Ability to establish, foster and evolve partnerships with stakeholders. Credit Suisse is committed to providing equal employment opportunities, regardless of ethnicity, nationality, gender, sexual orientation, gender identity, religion, age, civil partnership, marital or family status, pregnancy, disability or any other status that is protected as a matter of local law.