In this role you will manage post-execution trade lifecycle activities across a diverse range of global commodities markets, including Metals, Agriculture, Commodity Investor Products, Oil, Power, Gas and Emissions. You will verify and settle transactions, perform daily reconciliations with global exchanges and futures clearing houses, investigate and resolve trade discrepancies, and ensure the accuracy of trade, inventory and Nostro positions. You will build strong relationships with traders and key internal stakeholders across Credit, Legal, Finance and Technology, while gaining exposure to Futures, Options, Swaps and Structured products. Additionally, you will contribute to regulatory reporting, maintain standard operating procedures, and support strategic and operational improvement projects across the business.