Who we are: CACEIS is the asset servicing banking group of Crédit Agricole and Santander dedicated to asset managers, insurance companies, pension funds, banks, private equity and real estate funds, brokers and corporate clients. Through offices across Europe, North and South America and Asia, CACEIS offers a broad range of services covering execution, clearing, forex, securities lending, custody, depositary and fund administration, fund distribution support, middle office outsourcing and issuer services.
We are hiring a Team manager to lead a multi activity team which handles activities such as Middle Office Servicing, Corporate Trust Client Servicing, Master Data Management and Cash Operations Processing. In this role the ideal candidate will have the technical knowledge of the business activities managed as well as proven experience in people management.
Job Duties
The team manager will play a critical role in ensuring accuracy, compliance, and smooth operations of the activities in their scope.
Key day to day People Management responsibilities will include
- supervision of day-to-day operations on each of the business unit (time management and quality level, risk mitigation)
Team management (rotation/vacation schedules, daily/weekly meetings to prioritize tasks and address technical or organization issues)
Team development (training plan and 1:1 skills matrix reviews)
Reporting to the head office located in Europe (KPI dashboard to build)
Taking ownership on production issues that have been escalated
Participation in project management: contribute actively to planning, requirements and implementation
Key business operations tasks
Banking services: OTC Derivatives
Affirmation of OTC products and integration of transactions in the Middle Office application
Reconciliation of OTC cleared transactions with Clearing brokers
Handling of the reconciliation of Middle Office positions
Derivatives Middle Office for Execution
Monitoring the clearing and posting to Clients’ accounts of the derivatives transactions booked with the dealing room in our Paris Office.
Monitoring the sending of the relevant confirmations and reports to Clients.
Triggering the sending of instructions to Custodians («vanilla» stock transactions).
Middle Office trade matching and flow monitoring
Monitoring and whenever necessary repair or release flows transiting through our dedicated acquisition tool
Matching and reconcile trades with broker/dealer
Follow up pending instructions with back office and custodians