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Apex Group Ltd is hiring an Associate – Funds Context Enablement to drive automation across Trade Processing, Pricing, and broader middleoffice operational workflows. The role focuses on building, supporting, and optimising ETL integrations , reducing manual touchpoints, improving data quality, and enabling straightthroughprocessing (STP) across internal systems.
You will partner with Operations, Fund Accounting, and Technology teams to automate processes related to trade files, price feeds, reconciliations, market data, and system integrations .
Apex Group Ltd is hiring an Associate – Funds Context Enablement to drive automation across Trade Processing, Pricing, and broader middleoffice operational workflows. The role focuses on building, supporting, and optimising ETL integrations , reducing manual touchpoints, improving data quality, and enabling straightthroughprocessing (STP) across internal systems.
You will partner with Operations, Fund Accounting, and Technology teams to automate processes related to trade files, price feeds, reconciliations, market data, and system integrations .
Design, develop, and enhance ETL processes for operational data flows (trade files, price files, security masters, positions, reconciliations).
Integrate client-provided trade/price files into internal systems using ETL tools.
Implement and test new integrations based on business and client requirements.
Monitor ETL workflows, handle failures, and ensure timely delivery of critical data.
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Automate repetitive operations tasks using SQL, VBA, Advanced Excel, macros, scripts, or ETL workflows .
Build reusable data pipelines to reduce manual intervention across trade and pricing workflows.
Identify process gaps and deliver scalable automation solutions.
Support daytoday trade and price data processing activities.
Work to resolve breaks, mismatches, and exceptions across trade, position, and pricing workflows.
Collaborate with Fund Accounting teams (Geneva / Paxus) for data validation and troubleshooting.
Gather requirements from Operations, Product, and Integration teams.
Translate functional needs into technical ETL/automation solutions.
Maintain documentation, SOPs, workflow diagrams, and technical user guides.
Communicate clearly with nontechnical users.
Mandatory handson experience with an ETL tool (Informatica, Alteryx, SSIS, Talend, etc.).
Strong SQL , VBA , and Advanced Excel .
Experience in automation projects (macros, workflow automation, scripting).
Understanding of market data platforms (Bloomberg, Refinitiv).
Exposure to Fund Accounting systems such as Geneva / Paxus (preferred but not mandatory).
Good understanding of trade lifecycle workflows (trade capture, affirmation, settlement).
Understanding of pricing workflows (security pricing, market data validation, price exceptions).
Familiarity with capital markets instruments (equities, fixed income, derivatives, OTCs, private markets).
Background in Fund Administration or Middle Office operations preferred.
3–5 years of experience in ETL automation, trade/price operations, or middleoffice technology roles.
Handson automation mindset rather than pure operational processing.
Capable of building workflows to reduce manual tasks across trade, price, and reconciliations.
Strong data handling and troubleshooting skills.
Disclaimer : Unsolicited CVs sent to Apex (Talent Acquisition Team or Hiring Managers) by recruitment agencies will not be accepted for this position. Apex operates a direct sourcing model and where agency assistance is required, the Talent Acquisition team will engage directly with our exclusive recruitment partners.
Global financial services provider for asset managers and corporates.
Visit company websiteJobs and hiring trendsFull-time
Mid · 3+ years experience
Onsite
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