This book introduces middle and back office operations of financial institutions to the fundamentals of securities operations. It provides the reader with an explanation of the lifecycle of
generic trade transactions, and who is responsible for what, from the moment an asset manager instructs a trade, throughout the entire process to the management of the final, irrevocable
settlement.
Written as a handbook for new joiners or people in need of understanding the bigger picture of the work they are doing
Generic material appeals to global functions appeals to entry level readers on a global basis
Written by very experienced trainer and communicator with deep knowledge of securities settlement