The aim of the role is to ensure that there is accurate and timely execution of equities and fixed income trades in listed securities for retail, high net worth and institutional clients, while ensuring compliance to CDSC, CMA & NSE trading regulations. The candidate will work closely with the Sales traders, retail division and Operations team to ensure that clients receive the best possible level of service and execution quality that can be provided by the trading team.
For the above position, the successful applicant should have the following:
The above position is a demanding role for which the Bank will provide a competitive remuneration package to the successful candidate. If you believe you can clearly demonstrate your abilities to meet the criteria given above, please log in to our Recruitment portal and submit your application with a detailed CV.
To be considered your application must be received by Friday 24th February 2023
Qualified candidates with a disability are encouraged to apply.
Only short-listed candidates will be contacted.