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Securities and Trading Administration Officer
Summary
Responsible for the administration and settlement of all international transactions for JMMB Investments proprietary trades, managed portfolios, and retail clients’ brokered trades. Administers Capital Market transactions and documentation, relating to the reconciliation of transactions, updating and maintenance of records and the custodial and administration functions of Cash Secured, Equity and Bond Loan documentation.
Responsibilities
Operational:
- • Security Administration;
- • Stock and bond transfers locally and internationally
- • Share certificate deposits.
- • Dividend mandates
- • Pledge Forms for External Lenders
- • Audit Confirmations
- • Brokerage account updates for assigned territory.
- • Indemnities and share certificate replacements.
- • Approval of all local proprietary fixed income trades including Repurchase and Reverse Repurchase Agreements, Primary Market and Over the Counter (OTC) bids, and Secondary Market outright purchase and sale trades.
- • Prepares the reconciliation of all coupon and redemption payments (globally and locally) for all proprietary and managed accounts.
- • Inward and outward transfer for global and local securities received for classic and reverse repurchase agreements, also the transfer of all assets on behalf of retail clients.
- • Supports the monitoring of transfers and trades executed via online trading portals.
- • Reconciles and process for payment Capital Market transactions and ensures that all related documents are duly executed.
- • The liaison with JMMB Investments Frontline officers and External Agencies, Company Registrars and Other Brokers, in relation to status of security transfers, deposits, certificate and cheque replacements and any other security related transaction queries.
- • Support Capital Market Initiatives of varied structure and complexity by way of the documentation and reconciliation.
Reporting and Reconciliations:
- • Coupon Reconciliations for proprietary and client bond payments
- • Bond Reconciliation for client and proprietary Portfolios.
- • Assist with the testing for the quarterly Risk and Control Self-Assessment (RCSA) framework.
- • Monthly Reconciliation of the Repo Liability and MTM report.
- • Weekly Stock Balances Report.
- • Equity Portfolio Reconciliation Equity System vs Depend.
- • Assist with the internal and external audit processes through the provision of information and liaison with auditors for areas of responsibility.
Compliance:
- • Ensure all transactions are executed according to the outlined procedures.
- • All transactions are filed and easily retrievable.
- • Performs any other job-related responsibilities as requested
Authority:
- • To contact Broker or Institutional clients to confirm or query settlement instructions.
- • To act as an agent for the company in obtaining all necessary information to complete the Settlement process.
- • To independently respond to internal and external queries using knowledge, creativity, initiative and sound judgement.
- • Authorised signatory for secondary and end-of-day completed trades and tickets
- • Prioritise transactions to determine the appropriate urgency of each.
- • To identify and recommend seminar/courses/programmes which would enhance own on-the-job skills.
- • To recommend solutions to problems beyond his/her area of authority.
- • To make recommendations for improvements.
Required Skills
Behavioural:
- • Promotes the JMMB’s philosophy of the Vision of Love and its unique culture.
- • Elevated level of computer literacy, particularly word-processing and spread sheets.
- • Excellent written, oral, and non-verbal communication skills.
- • Excellent interpersonal, communication and documentation skills
- • Detail and results-oriented, highly organized, ability to manage multiple tasks with tight deadlines.
Other:
- • Excellent oral communication skills. Proficiency in written communication
- • Elevated level of computer literacy
- • Strong skills in time management and problems solving.
Qualifications
- • Bachelor’s degree in management/finance or equivalent professional qualification
- • At least 3-years operations experience, preferably in a financial institution.
- • Working knowledge of financial sector instruments, market operations, regulations, ethics, and professional jargon.
- • Excellent knowledge of financial business operations and expected controls.
Additional Information and Instructions
Working Conditions:
- • Normal Work Environment
Submit applications to careers@jmmb.com by January 28, 2025
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Job Overview
Title
Securities and Trading Administration Officer
Company
JMMB BANK (JAMAICA) LIMITEDLocation
Kingston and St. Andrew, JamaicaSalary
Not Disclosed
careers@jmmb.com
Work Style
On-SiteContract
Permanent
Experience
Mid-Level
Education
Bachelor's Degree
Category
AdministrationSector
Private
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