Need an urgent help !!!
I am currently looking forward to apply for my PR through express entry; however I am having difficulties in matching my duties of my Analyst Role with the correct NOC Code.
I would really appreciate it if someone could assist me in finding the correct NOC Code.
I was advised to use 1112, but I'm not too sure.
I'm currently working with Nomura as an Analyst in the investment banking operation- Back Office (Security Settlements)
Main duties include
Ensuring smooth security settlement for Client and Proprietary business across all European and Emerging markets.
Actively coordinating with agent bank for BAU and other queries.
Liaising with MO and counterparty to resolve trade discrepancies viz Qty mismatch, Cash mismatch, TD & VD mismatch.
Regular follow ups with trading desk for short positions.
Performing position transfer from one depository to another by checking in different market depots.
Releasing trade instruction in market by validating trade in back office system.
Instructing SWFIT mgs amendments manually.
Clearing all stock and cash break.
Updating detail investigation comments on trade settlements and old fails trades.
Making KRI report and send across to Global metric team.
I am currently looking forward to apply for my PR through express entry; however I am having difficulties in matching my duties of my Analyst Role with the correct NOC Code.
I would really appreciate it if someone could assist me in finding the correct NOC Code.
I was advised to use 1112, but I'm not too sure.
I'm currently working with Nomura as an Analyst in the investment banking operation- Back Office (Security Settlements)
Main duties include
Ensuring smooth security settlement for Client and Proprietary business across all European and Emerging markets.
Actively coordinating with agent bank for BAU and other queries.
Liaising with MO and counterparty to resolve trade discrepancies viz Qty mismatch, Cash mismatch, TD & VD mismatch.
Regular follow ups with trading desk for short positions.
Performing position transfer from one depository to another by checking in different market depots.
Releasing trade instruction in market by validating trade in back office system.
Instructing SWFIT mgs amendments manually.
Clearing all stock and cash break.
Updating detail investigation comments on trade settlements and old fails trades.
Making KRI report and send across to Global metric team.