StoneX

Specialist - Trade Processing

Locations GB-London
Requisition ID 2026-14873
Category (Portal Searching)
Operations
Position Type (Portal Searching)
Experienced Professional

Overview

 

Connecting clients to markets – and talent to opportunity

 

With 4,300 employees and over 400,000 retail and institutional clients from more than 80 offices spread across five continents, we’re a Fortune-100, Nasdaq-listed provider, connecting clients to the global markets – focusing on innovation, human connection, and providing world-class products and services to all types of investors.

 

At StoneX, we offer you the opportunity to be part of an institutional-grade financial services network that connects companies, organizations, and investors to the global markets ecosystem. As a team member, you'll benefit from our unique blend of digital platforms, comprehensive clearing and execution services, personalized high-touch support, and deep industry expertise. Elevate your career with us and make a significant impact in the world of global finance.

 

 

Corporate: Engage in a deep variety of business-critical activities that keep our company running efficiently. From strategic marketing and financial management to human resources and operational oversight, you’ll have the opportunity to optimize processes and implement game-changing policies.

Responsibilities

 Position Purpose: To provide assistance to the Trade Processing team, while working with the Reconciliation and Client Service departments.

 

Primary duties will include: 

  • Follow and understand all internal procedures & comply with general FCA principles of business.
  • Ensuring that the company is adhering to market regulation concerning Clearing functions
  • To provide knowledge, assistance and hands on experience for the following:
  • Clearing and trade allocation for all markets, including but not limited to LME, EURONEXT, CME, CBOT, COMEX, NYMEX, ICE, EUREX, EEX, and FX
  • Liaising with the front office to ensure that trades are accurately cleared in an effective and timely manner
  • Executing top day offsets so that position maintenance requirements of the Clearing Houses are met
  • Working with the Client Services team to provide a high standard of output to customers
  • Working with the Derivatives Reconciliation team to ensure that reconciliations are accurate
  • Intraday monitoring of positions in delivery period or approaching expiry and to liaise with the Deliveries team regarding those positions
  • Providing top day recaps to customers
  • Escalating issues that require management attention

Qualifications

To Land this role you will need

  • 2+ years experience in operations with good knowledge of Clearing House requirements
  • Familiarity with industry-standard derivatives platforms.
  • Knowledge of XTP and its various modules preferred but not required.
  • Trade flow knowledge from execution to settlement
  • Strong understanding of derivatives, including futures and options, as well as their associated lifecycle events.
  • Working knowledge of the below systems would be desirable
  • Ion XTP, FFastFill Seals, Teo, Lisa, LME Smart, LME Mercury, ICE FEC, ICE ECS, CME Clearing Europe FEC+, Eurex & ECC C7, XTP, Euronext.

What will make you stand out:

  • Attention to detail and ability to handle multiple tasks in a fast-paced environment
  • Effective communication and interpersonal skills, with the ability to build relationships and collaborate with various stakeholders across the business.
  • Effective organisation and time management skills.
  • Strong communication skills (written and oral)
  • Effective planning, organisation and time management skills

Working Environment:

  • Hybrid (4 days in office per week)

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