
Active ETF Operations Lead Analyst 2
at Schroders
Posted an hour ago
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- Compensation
- Not specified
- City
- Country
- Singapore
Currency: Not specified
**Active ETF Operations Lead Analyst 2 (Singapore)** Spearhead Active ETF operational support, ensuring accurate and timely Portfolio Composition Files (PCFs). Oversee Active ETF operational process, interface with Fund Administration, Trading, Portfolio Management, Technology, and Global Operating Platform teams. Manage incidents, drive improvements, and balance priorities under pressure. 3+ years' experience in ETF operations, strong data analysis skills, proficient in Bloomberg, Charles River, and Calastone.
Location: Singapore
Who we’re looking for
We are looking for an individual to join our day-to-day Active ETF operational support, ensuring the accuracy and timeliness of Portfolio Composition Files (PCFs) / basket files and associated pricing and trades inputs, and delivering robust oversight of the Active ETF operational process. The role acts as a key operational interface to Fund Administration / ETF servicing providers and internal Trading, Portfolio Management, Technology, and Global Operating Platform teams, driving effective incident management, root-cause remediation, and continuous improvement.
You will work right across the organisation to ensure issues are escalated and resolved, and ongoing problems are managed. You will be able to remain calm while under pressure and balance multiple priorities at once.
About us
Schroders is a global investment manager which provides active asset management, wealth management and investment solutions. We aim to provide excellent investment performance to clients through active management. We serve a diverse client base that includes pension schemes, insurance companies, sovereign wealth funds, endowments, foundations, high net worth individuals, family offices, as well as end clients through partnerships with distributors, financial advisers, and online platforms.
Established in 1804, we have around 5,500 people across 36 global locations. Schroders' success can be attributed to its diversified business model, spanning different asset classes, client types and geographies.
About the team
The Investment Services Platform Team (ISPT) is a central team within Platform Operating Model Control and Support in Global Operating Platform, reporting to the Global Head of Platform Control and Support with a global remit. The team provides support to the Investment, Dealing and Operations functions in Schroders Asset Management Business and works with teams across Schroders to implement change initiated from the three functions. The team aims to enable business growth, support business as usual, make operating model improvements, manage risk and simplify business processes.
What you’ll do
- Own daily PCF / basket file oversight (generation, validation, timeliness, and distribution/publishing per operating model).
- Troubleshoot PCF and pricing-related breaks (holdings vs model, identifiers, quantities/rounding tolerances, cash component variances, FX/pricing staleness, corporate actions impacts).
- Provide operational coverage of the Active ETF lifecycle, coordinating end-to-end exception resolution across Trading, PM, Ops, Tech, Data and the fund administrator.
- Support primary market operational touchpoints (create/redeem-related readiness, cut-offs, and escalations) in line with defined responsibilities.
- Liaise with the Fund Administrator / ETF servicing agent to ensure accurate deliverables, timely resolutions, and clear ownership of actions.
- Execute and enhance key operational controls (tolerance checks, sign-offs, evidencing, reconciliation/validation checks) to ensure auditability.
- Lead structured incident management (logging, triage, escalation, communications, root-cause analysis, and preventative actions).
- Contribute to service provider governance (KPIs, incident trends, SLA adherence, service reviews, and remediation tracking).
- Support change delivery and UAT for launches, enhancements, and vendor/platform releases, including test planning and regression coverage for PCF/pricing dependencies.
- Drive continuous improvement/automation initiatives (e.g., variance analysis tools, dashboards, standardised runbooks) to reduce manual effort and recurring errors.
The knowledge, experience and qualifications you need
- Proven experience in Active ETF / ETF operations, middle office, fund operations, fund accounting, custody/trustee, or ETF servicing.
- Strong understanding of ETF operating models, including key dependencies between portfolio holdings, basket/PCF outputs, pricing/valuation inputs, and downstream servicing.
- Demonstrable hands-on capability in PCF / basket file analysis and troubleshooting, including constituent validation and cash component variance investigation (or closely related file-based operational diagnostics).
- Solid grasp of the trade lifecycle (trade capture, confirmations/matching where applicable, settlement readiness, fail management) and how exceptions propagate operational risk.
- Experience working directly with Fund Administrators / custodians / ETF service providers, including issue escalation, SLA tracking, and service governance routines.
- Proven ability to perform structured root-cause and implementing preventative controls.
- Strong analytical tooling skills: advanced Excel; SQL/data interrogation capability preferred (Python/automation skills desirable but not required).
- Experience working within an asset management firm within front or middle office environment.
- Good technical investment services platform knowledge and ability to bridge the communications between third party vendors, IT and the business.
- Good understanding of fund management business and end to end Order/Trade workflow
- Familiarity with broad range of investment products and instruments.
- Familiarity with the dealing lifecycle of Equity, Active ETF, Fixed Income and OTC derivatives instruments is preferred.
- Strong communication skills and experience to manage third party portfolio, order, execution management system.
- Good inter-personal and organisational skills.
- Ability to operate under pressure, multi-tasking and deliver to demanding deadlines.
The knowledge, experience and qualifications that will help
- Knowledge of BlackRock Aladdin Solution is essential
- Knowledge of Mutual Fund operational process including fund setup, engagement with transfer agencies, fund administrators, custodians is preferred
- Business knowledge of other Asset Management front / middle office systems, such as MSCI Barra, FactSet, Charles River, Bloomberg and Eikon
What you’ll be like
Able to work under pressure, on several critical priorities at once
Have the ability to quickly understand business issues, make good judgements and quick decisions
A critical thinker and problem solver
An excellent communicator with strong ability to articulate complex issues succinctly
We recognise potential, whoever you are
Our purpose is to deliver excellent investment performance to clients through active management. We believe diverse perspectives and an inclusive culture help us make better decisions and achieve better outcomes for our clients. That's why inclusion is a strategic priority for us, and we are an equal opportunities employer. You are welcome here, regardless of your age, disability, gender identity, religious beliefs, sexual orientation, socio-economic background, or any other protected characteristic.
We will consider flexible working arrangements for all roles and provide reasonable accommodations to support applicants and employees, including those with neurodiversity, disability, or physical and mental health needs. For more information, please visit our FAQs.
