Posted 05 June, 2026
Senior Operations & Settlements Manger
Cantor Fitzgerald Securities
Dublin, Dublin, Ireland
Full Time
Reference: 1612064885
Job Description
Key Skills & Experience
Essential
Desirable
Key Competencies
Responsibilities
Key Responsibilities
Settlement Operations - Investment Management
Fund Operations & Asset Protection
Controls, Risk & Regulatory Oversight
Reconciliations & Management Information
Stakeholder & Third-Party Management
People Management & Leadership
Change & Process Improvement
Qualifications
Education & Professional Qualifications
Key Skills & Experience
Essential
- Over 10years experience in settlements or post-trade operations within a MiFID-regulated investment firm.
- Hands-on experience across both fund operations and investment management settlements across all asset classes
- Strong understanding of the end-to-end trade lifecycle and settlement infrastructure.
- Proven experience managing settlement risk, controls, and reconciliations.
- Previous people management or team leadership experience.
- Strong analytical skills with a high attention to detail.
- Proven track record in implementing positive change initiatives
- Ability to prioritise effectively and work under regulatory and market-driven deadlines.
- Excellent communication and stakeholder management skills.
Desirable
- Familiarity with CBI supervisory expectations and operational risk frameworks.
- Experience overseeing outsourced settlement or fund administration providers.
- Exposure to settlement platforms, reconciliations systems, and automation initiatives.
- Experience using AI-enabled tools to enhance efficiency, insight, or decision-making.
Key Competencies
- Risk & Control Focus
- Client Asset Protection Mindset
- Leadership & Accountability
- Regulatory Awareness
- Stakeholder Collaboration
- Continuous Improvement & Change Management
Responsibilities
Key Responsibilities
Settlement Operations - Investment Management
- Manage daily settlement activities for fund trades and trading transactions across multiple asset classes (equities, fixed income, funds, FX, derivatives, DCM where applicable).
- Oversee trade matching, confirmations, SSI maintenance, and settlement instruction processing with custodians, brokers, clearing brokers, and fund administrators.
- Ensure timely settlement of primary and secondary market trades, including DVP/RVP and FOP settlements.
- Proactively monitor settlement fails, aged items, and suspense accounts, ensuring prompt investigation, resolution, and escalation where required.
- Coordinate settlement activity across fund structures (UCITS / AIFs where relevant) and segregated discretionary portfolios.
- Responsible for ensuring all trades are processed and reported in line with Regulatory expectations Transaction Reporting requirements.
- Willingness to continuously develop AI and digital skills as tools and ways of working in a manner that protects the integrity of the business
- Contribute to the responsible and ethical use of AI within the team.
Fund Operations & Asset Protection
- Ensure settlement processes align with fund dealing cycles, NAV deadlines, and administrator cut-offs.
- Work closely with teams to manage cash flows, subscriptions/redemptions, and corporate action impacts.
- Support client asset safeguarding obligations, including segregation, record-keeping, and oversight controls.
- Maintain strong controls around ownership records, custody positions, and client entitlements.
Controls, Risk & Regulatory Oversight
- Oversee and maintain all operational procedures, process maps, and risk & control documentation.
- Responsibility for Operations Risk Control Assessment including identification, mitigation and measurement of risks including settlement, counterparty, liquidity, and operational risks.
- Act as first-line owner for settlement-related operational risk events, issues, and breaches.
- Support internal audits, regulatory returns, regulatory inspections, and risk assessments, including provision of evidence and remediation actions.
- Ensure compliance with MiFID II operational requirements and Central Bank of Ireland expectations.
- Provide operational support for payment and controls to support client transactions.
Reconciliations & Management Information
- Oversee daily cash and stock reconciliations across custody, broker, and internal records.
- Ensure reconciling items are resolved within agreed timelines and root causes identified.
- Produce and review settlement MI, KPIs, and exception reporting for senior management and governance forums.
- Escalate material risks, trends, or breaches in a clear and timely manner.
Stakeholder & Third-Party Management
- Act as the key operational contact for custodians, clearing brokers, fund administrators, and trading counterparties.
- Monitor third-party service provider performance against SLAs and KPIs, addressing service issues proactively.
- Build strong internal relationships with Front Office, Fund Operations, Risk, Compliance, Finance, and Change teams in Ireland and US.
People Management & Leadership
- Provide strong leadership for the Operations & Settlements team, fostering a strong control culture and accountability mindset.
- Allocate workloads, manage capacity, and ensure appropriate segregation of duties within the team.
- Support recruitment, performance management, and succession planning.
Change & Process Improvement
- Identify opportunities to improve efficiencies, client experience by leveraging resources, technology and Group capabilities where sensible
- Participate in system implementations, platform migrations, and regulatory-driven change initiatives.
- Contribute to operational resilience planning, including BCP and contingency arrangements.
Qualifications
Education & Professional Qualifications
- Third-level qualification in Finance, Business, Accounting, Economics, or a related discipline (or equivalent experience).
- Relevant professional qualifications (e.g. IOB, ACCA, ACA modules, or similar) are advantageous.