Jonathan Hollis

Jonathan Hollis Email and Phone Number

Operations at Optiva Securities @ Optiva Securities
london, london, united kingdom
Jonathan Hollis's Location
Enfield, England, United Kingdom, United Kingdom
Jonathan Hollis's Contact Details

Jonathan Hollis work email

Jonathan Hollis personal email

n/a
About Jonathan Hollis

20+ years experience in the finance industry carrying out a variety of operational roles including corporate actions, data management, and reconciliations. I am a conscientious, hard-working and reliable member of the team who has proven the ability to work under pressure and readily adapt to new processes.

Jonathan Hollis's Current Company Details
Optiva Securities

Optiva Securities

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Operations at Optiva Securities
london, london, united kingdom
Employees:
16
Jonathan Hollis Work Experience Details
  • Optiva Securities
    Operations Manager
    Optiva Securities Mar 2017 - Present
    City Of London, England, United Kingdom
  • Dnel Limited
    Events Logistics
    Dnel Limited May 2014 - Mar 2017
    Transportation and Installation of equipment for events all over the country. Major events from sporting events to music festivals and concerts, for clients such as Coca-Cola, Louis Vuitton, and Capital Radio
  • Axa Rosenberg
    Operations Analyst
    Axa Rosenberg Apr 2013 - Nov 2013
    London, England
    AXA Rosenberg: April 2013 – November 2013Working as an analyst in the Operations Control area, daily tasks include:- Transaction Processing - processing of all ad-hoc and regular cash and stock events.- Corporate Actions - processing corporate actions, instructing custodians and other agents on optional corporate actions ensuring our records accurately reflect all mandatory and optional events.- Managing all daily external communication including queries from custodians, brokers, and other third parties.- Validating approximately 20 NAV’s on a daily basis and reconciling any differences
  • Tt International
    Middle Office Analyst
    Tt International Jan 2008 - Jan 2013
    Moorgate, London
    Initially employed as part of the reconciliation team, reconciling long only accounts, and producing weekly NAV reconciliations, I quickly moved to be part of the Middle Office department, a role that included Corporate Action processing.Daily tasks included:• Processing Mandatory and Voluntary Corporate Actions such as DRIPs, Rights Issues, Mergers, Stock Splits, and Bonus Issues, across various markets, such as UK, Europe and Asia.• The setting up of all equities, futures, options and bonds to be traded.• Production of a daily price pack, manually pricing hedge funds, OTC options, and producing a number of reports to ensure accuracy.• Maintaining accurate static data across all systems in order to prevent errors in trading.• Dealing with adhoc queries.• The continual updating and streamlining of all Middle Office procedures.
  • Deutsche Bank
    Prime Brokerage Funding Clerk
    Deutsche Bank Feb 2007 - Jan 2008
    London, England
    Working in a busy funding department, my role was to;• Ensure prime brokerage cash accounts were funded correctly in order to prevent long/short balances.• Making manual payments via SWIFT Reconciling cash breaks using Smartstream.• Dealing with client service reps, agent banks and all departments within DB to ensure breaks were resolved.• Training staff to assist with migration of the department to IndiaI also spent some time working within the collateral management department, where I would assist trade support, by clearing up historic breaks
  • Bgc Partners
    Cash Reconciliations Clerk
    Bgc Partners Feb 2005 - Jan 2007
    London, United Kingdom
    Working in a cash reconciliation role, my role included;• The daily processing of cash nostro accounts, using the Intellimatch System• Creation of various reports to be distributed to different departments in order to ensure historic cash breaks were resolved. • Staff training to enable members of staff to use Intellimatch.• Dealing with large number of adhoc queries• High pressure role, with a large emphasis placed on deadlines, reports had to be run at certain times of the day in order to assist in the investigation and resolution of outstanding breaks.
  • Ubs
    Cash And Stock Reconciliations Analyst
    Ubs Jul 2004 - Dec 2004
    Frankfurt Am Main Area, Germany
    Due to the migration of the centralised reconciliation within UBS Wealth Management to Frankfurt, I was offered a six month contract to go to Frankfurt to assist in the migration and training of local staff to use Intellimatch, in order to ensure this migration was completed with as little impact on UBS as possible, and that the reconciliation process carried forward effectively.
  • Ubs
    Cash And Stock Reconciliations Analyst
    Ubs Nov 2003 - Jul 2004
    London, United Kingdom
    • Working in a busy reconciliation department, we were responsible for both cash and stock reconciliations for various locations around Europe. • Reconciliations would be fed in to in-house systems in order for these differences to be seen by various departments to ensure the quick resolution of any breaks. • Reconciliations would need to be produced to an exceptionally high standard. • Large emphasis was placed on making sure these reconciliations were published as early as possible so any investigation could start
  • Gni
    Treasury Assistant
    Gni Oct 2000 - Aug 2003
    London, United Kingdom
    Working in a cash reconciliation role, as part of the treasury team; daily tasks included;• Reconciling cash nostro accounts, using Intellimatch.• Reporting of reconciliation differences to various departments within GNI• The investigation and resolution of cash breaks, with a emphasis on clearing breaks as early as possible.

Jonathan Hollis Skills

Asset Management Equities Middle Office Hedge Funds Finance Management Funding Payments Prime Brokerage Bank Reconciliation Corporate Actions Account Reconciliation Banking Trading

Jonathan Hollis Education Details

  • Fortismere School
    Fortismere School

Frequently Asked Questions about Jonathan Hollis

What company does Jonathan Hollis work for?

Jonathan Hollis works for Optiva Securities

What is Jonathan Hollis's role at the current company?

Jonathan Hollis's current role is Operations at Optiva Securities.

What is Jonathan Hollis's email address?

Jonathan Hollis's email address is jo****@****ies.com

What schools did Jonathan Hollis attend?

Jonathan Hollis attended Fortismere School.

What skills is Jonathan Hollis known for?

Jonathan Hollis has skills like Asset Management, Equities, Middle Office, Hedge Funds, Finance, Management, Funding, Payments, Prime Brokerage, Bank Reconciliation, Corporate Actions, Account Reconciliation.

Who are Jonathan Hollis's colleagues?

Jonathan Hollis's colleagues are Sal Rajput, Vishal Balasingham, Kevin Bauld Fcca Bsc (Hons) Maat, Christopher Kennedy.

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