Jobs Companies Emirates Investment Authority Senior Investment Operations Associate (Contract) (Immediately Available)

À propos de ce poste Senior Investment Operations Associate (Contract) (Immediately Available) chez Emirates Investment Authority

Emirates Investment Authority · Sur site · Abu Dhabi, Abu Dhabi, United Arab Emirates

Purpose

  • The Senior Investment Operations Associate is responsible for executing and overseeing key components of the investment operations lifecycle, ensuring accuracy, control, and operational efficiency across multiple asset classes.
  • The role supports the Investment Operations Manager (or Head currently) in managing complex workflows, resolving operational issues, and maintaining robust control frameworks, while contributing to process improvement and system enhancements.

 

Strategic Responsibilities

  • Support implementation of the Investment Operations operating model and process framework
  • Contribute to process standardization, automation, and efficiency initiatives
  • Assist in strengthening operational controls and data quality across systems

 

Core Responsibilities

1.       Operations Execution & Lifecycle Support

  • Execute and oversee core operational activities across the investment lifecycle, including:
    • Trade capture, validation, and booking
    • Trade confirmation and matching
    • Settlement processing (DVP/RVP, FOP, CCP-cleared)
    • Cash and position reconciliations
    • Corporate actions processing (mandatory and voluntary events)
    • Investment data management and reporting

 

  • Ensure timely and accurate execution of all activities in line with market deadlines and settlement cycles (T+0, T+1, T+2)
  • Maintain strong understanding of financial instruments, including:
    • Public markets: equities, fixed income, ETFs
    • Derivatives: futures, options, swaps, FX products
    • Private markets: capital calls, distributions, NAV tracking
    • Loans and credit instruments
    • Cash and liquidity instruments

 

 

2.       Reconciliations & Exception Management

  • Perform and review cash and position reconciliations across custodians and internal systems
  • Investigate and resolve reconciliation breaks, settlement failures, and discrepancies
  • Escalate complex issues and track resolution

 

3.       Control Framework & Risk Management

  • Ensure adherence to internal policies, SOPs, and control frameworks
  • Support identification and mitigation of operational risks, including:
    • Settlement failures
    • Data inconsistencies
    • Counterparty issues
  • Maintain audit-ready documentation and support audit and compliance reviews
  • Support KYC/CDD processes and onboarding documentation where required

 

4.       Data, Systems & Process Improvement

  • Ensure integrity and consistency of investment data across systems
  • Support process improvement initiatives, including:
    • Automation of manual processes
    • Data quality improvements
    • System enhancements
  • Work closely with IT and vendors to support system functionality

 

5.       Stakeholder Coordination

  • Coordinate with internal teams (Investment, Finance, Risk, IT)
  • Liaise with external providers (custodians, brokers, administrators)
  • Support resolution of operational issues and ensure timely closure

 

6.       Reporting & Governance

  • Prepare operational reports, dashboards, and KPI tracking
  • Support governance processes, audit reviews, and reporting requirements

 

Requirements

Education & Qualifications

  • Bachelor’s degree in finance, Accounting, Economics, or related field
  • Professional certifications (CFA, CISI, FRM, CPA) preferred

 

Experience Requirements

  • 4–7 years of experience in investment operations or financial services
  • Strong experience across trade lifecycle and reconciliations
  • Exposure to multi-asset operations preferred

 

Technical Skills

  • Strong understanding of trade processing, settlement, and reconciliation
  • Knowledge of financial instruments across asset classes
  • Familiarity with SWIFT, custodial models, and accounting principles
  • Strong analytical and problem-solving skills

 

Management Accountability

  • Accountable for accuracy and completeness of operational processes
  • Responsible for resolving exceptions and improving workflows
  • Support operational efficiency, control enhancements, and data integrity

 

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À propos de Emirates Investment Authority

Emirates Investment Authority (EIA) is the only Sovereign Wealth Fund of the Federal Government of the United Arab Emirates. Established in 2007, the EIA has actively sought unique investment opportunities locally, regionally and internationally, focusing on investing in asset classes that will help strengthen and diversify the UAE economy.

EIA invests into a globally diversified investment portfolio. This includes both developed and emerging markets, EIA has investments in the Americas, Europe, Asia and the Middle East. As a custodian of the Federal assets of the United Arab Emirates, the EIA is mandated to strategically invest funds allocated by the Federal Government to create long-term value for the UAE and contribute to the future prosperity of the country. In a short span of time, the EIA has uniquely positioned itself to become an invaluable partner for significant world-class investment opportunities locally, regionally and internationally.

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