Administration and settlement of Securities & FX transactions into different Clearing Houses and Depositary (MaeClear, Euroclaer, Caja de Valores and CRYL)
Preparation of position reports (Cash & Securities Flow)
Active interaction with the business area (money table)
Tracking of different regulatory limits impacted in BAU
Cover the different requirements of external and internal auditors / regulators
Follow-up of operations with foreign clients (daily communication with BNP London and Paris)
Academic Education : Bachelor of Business Administration or similar career (Received or with few pending matters)
Work Experience : Minimum 3 years of experience in Capital Markets or related position.
Languages : Advanced / Intermediate English
Others : Word management, Power Point and advanced Excel knowledge (not exclusive but will be taken into account)
BNP Paribas is committed to providing a work environment that fosters diversity, inclusion, and equal employment opportunity without regard to race, color, gender, age, creed, sex, religion, national origin, disability (physical or mental), marital status, citizenship, ancestry, sexual orientation, gender identity and gender expression, or any other legally protected status.