Join S&P Global Market Intelligence as a Sr. Outsourcing Delivery Associate in the Cash Reconciliation team. You will be responsible for data maintenance, support, training, reporting, and business analysis activities for clients’ Structured Finance Obligations. This role offers exposure to external industry entities and requires strong financial adaptability and PC skills. Apply now!
S&P Global Market Intelligence
The Role: Sr. Outsourcing Delivery Associate
The Team:
The Cash Reconciliation team is vital to the Software Solutions Managed Services & Operations organization supporting the ongoing management of our client’s investment portfolios. S&P Global is focused on powering the markets of the future and has been relied on by the world's leading organizations for the essential intelligence they need to make confident decisions about the road ahead. The company is a purpose-led organization with a mission to accelerate progress and serve our clients.
The Impact:
S&P Global has an opening for an analytical and detail-oriented individual to handle data maintenance, support, training, reporting, and business analysis activities for clients’ Structured Finance Obligations, including CLOs, CBOs, and Swaps. The position offers exposure to external industry entities such as portfolio managers, custodians, and agent banks. Candidate should display strong financial adaptability, PC skills, and expect full accountabilities for all assigned projects.
What’s in it for you:
An individual will be aligned within our finance operations vertical and will be responsible to manage daily BAU, conducting analysis and reconciling client transactions. You will be communicating with global business partners to understand changes in process and implementing process changes in-house.
Responsibilities:
- Process trade settlement in WSO Admin as well as new borrowings, increases, rollovers, pay downs, commitment reductions, etc. maintain current accuracy standards based on the information provided by client.
- Responsible for accurately processing daily activity, new deal closings, restructures, and amendments for all asset types (Loans, Bonds, ABS, Equities, CDS) by reviewing source documentation and faxes from agent banks.
- Process interest, commitment fees and investigate discrepancies when necessary.
- Responsible for reconciliations, balancing and publishing of cash ledgers, as well as issue research and resolution.
- Review system generated reports to ensure proper monitoring of the facilities and handle exceptions items.
- Interact with appropriate individuals/entities to gather all pertinent information/details to reflect date accurately in the system.
- Handle requests from different departments/clients within an hour turn around. Complete special projects as assigned.
- Creativity to go beyond current tools to deliver the best solution to the problem, ability and comfort with working independently and making key decisions on projects and business critical activities.
What We’re Looking For:
- Bachelor from accredited institution or equivalent work experience needed.
- Business/Finance/Accounting strongly recommended.
- Strong Computer skills – Microsoft Office suite
- Strong work ethic – organized, detail oriented, analytical, task driven
Grade/Level (relevant for internal applicants only): Level 8