The Traditional Asset Specialist will report to the Traditional Asset Manager in the R&C Operations Department. This role is responsible for all processing related to traditional securities held in custody by Inspira. Traditional securities include publicly traded stocks, bonds, and mutual funds. The department is comprised of two teams: Trade Comparison, Clearance & Settlement (TCCS) and Account Maintenance Activities (AMA). Primary responsibilities of the TCCS team include trade settlement, liquidations, transfers, and order monitoring. Primary responsibilities of the AMA team include dividends, corporate actions, restricted stock, position reconciliations, security master maintenance, and trade adjustments. The candidate will be initially assigned to a specific team and role, and overtime, will rotate functions within and between teams. Within Traditional Operations, there is a high degree of teamwork. The ideal candidate will be highly proficient with numbers and reconciliations, possess strong attention to detail and the capacity to multitask and operate in a fast-paced environment.
Review and process daily cash settlements
Post periodic dividends and interest payments to client accounts ensuring appropriate tax coding
Process incoming and outgoing transfers through sub-custodian systems and record transfer transactions once assets have been received or delivered
Process corporate actions, such as stock splits, mergers, conversions and exchanges, which includes sending notifications to clients, maintaining the security master and processing transactions to properly reflect the changes
Reconcile security positions with sub-custodians in a timely and accurate manner
Assist clients with trade questions and place client trades for calls received through Inspira's trading desk while monitoring open orders to ensure timely and accurate execution
Maintain the Security Master for traditional asset classes in the Trust Accounting System
Vault physical restricted stock certificates and deposit physical marketable securities with the sub-custodian to convert to book-entry positions
Interact with internal departments, external sub-custodians and trading firms in a positive professional manner
Ensure that work generated consistently adheres to Company policies and procedures and meets established service levels
Create and maintain written operating procedures related to assigned functions
Actively share ideas to improve department processes and efficiencies
Other duties as assigned
Numbers & Facts
Location
Oak Brook, IL (Remote)
Skills
Accounting Softwareunmatched
Asset Managementunmatched
Bond Marketunmatched
Customer Support/Serviceunmatched
Detail Orientedunmatched
Multitaskingunmatched
Mutual Fundsunmatched
Operations Processesunmatched
Policy Developmentunmatched
Procedure Developmentunmatched
Process Improvementunmatched
Reconciliationunmatched
Securitiesunmatched
Team Playerunmatched
Time Managementunmatched
Trading/Stockbrokingunmatched
Transaction Processing/Managementunmatched
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