Analyst - Trading Operations and Market Surveillance

Banking / Insurance / Financial Services

About the Employer

Job Description

COLOMBO STOCK EXCHANGE

Creating Wealth and Value

Great Place To Work

Certified

JON JON W124

CIMA Training Partner

BE A PART OF THE

COLOMBO STOCK EXCHANGE

The Colombo Stock Exchange (CSE) is a company limited by guarantee incorporated under the Companies Act No. 17 of 1982 and is licensed by the Securities and Exchange Commission of Sri Lanka (SEC) as a Market Institution to operate the Stock Market in Sri Lanka. The CSE offers globally accepted pre-trade, trade and post-trade market infrastructure and a regulatory framework to facilitate the primary market issuances and the secondary trading of securities.

ANALYST- TRADING OPERATIONS & MARKET SURVEILLANCE (EXECUTIVE GRADE)

The Trading Operations and Market Surveillance division is responsible for administering the secondary trading operations of the CSE, carrying out market surveillance functions and ensuring the orderly and efficient dissemination of corporate information, including Annual Reports, Interim Financial Statements and other disclosures submitted by Listed Companies.

Requirements to apply:

  • Bachelors' degree in Management, Finance, Economics, Mathematics, or Statistics from a recognized University or an equivalent professional qualification
  • A minimum of 02 years' work experience in a reputed organization
  • Knowledge on capital markets would be an added advantage
  • Excellent command in English (written and oral)
  • Strong analytical and decision-making skills
  • Attention to detail
  • Planning and organizing skills
  • Good team-player

If you are selected for the vacancy your job responsibilities would include:

  • Monitor and administer the trading operations through the CSE's trading systems.
  • Disseminate announcements, quarterly financial statements and annual reports of listed companies to the market.
  • Ensure that the disclosures submitted by listed companies are duly updated in the relevant systems and the CSE Website.
  • Follow-up and take action in the event of any non-compliance with Listing Rules by listed companies.
  • Conduct investigations into suspected cases of market misconduct and prepare a referral/report to be submitted to the SEC and/or the relevant Stockbroker Firm as appropriate.
  • Advice listed companies on their level of compliance with the CSE Listing Rules.
  • Advice Stockbroker Firms regarding matters related to Trading.

Send your updated CV to us at [email protected] within 7 days from the advertised date and be a part of creating wealth and value to our stakeholders!

We are an equal-opportunity employer and invite all eligible candidates to be a part of the CSE Team.