Associate_Capital Markets_Core Processing_Product Support & Services WM
Mumbai, IndiaPosted Jul 10, 2026
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Single PositionView All JobsAssociate_Capital Markets_Core Processing_Product Support & Services WMMumbai, Maharashtra, India No longer accepting applications.Employment TypeFull timeJob LevelProfessionalYou are required to review the Firm’s Mobility Guidelines on careerhub/ prior to submitting your application to ensure you understand and abide by your obligations under the Firm policy.JOB LEVELAssociate (Professional)TIERP2We’re seeking someone to join our team as an Associate_Capital Markets_Core Processing in WM Operations to frontline operations responsible for trade support, asset servicing, clearance, settlement, reconciliations, exception management, and control execution across traditional capital markets products, primarily equities, options, and fixed income.In the Operations division, we partner with business units across the Firm to support financial transactions, devise and implement effective controls and develop client relationships. This is an Associate level position level position within the Product Support & Services WM, which is responsible for providing transaction support and managing post execution processes.Since 1935, Morgan Stanley is known as a global leader in financial services, always evolving and innovating to better serve our clients and our communities in more than 40 countries around the world.What you'll do in the role: Trade Support & Exception ManagementSupport the post-trade lifecycle for equities, options, and fixed income transactions, including trade capture validation, break resolution, amendments, corrections, and operational issue management.Monitor trade activity and exception queues to ensure transactions are accurately reflected across relevant processing platforms and downstream books-and-records systems.Clearance, Settlement & Fail ManagementSupport clearance and settlement processing, including unmatched trade review, settlement instruction validation, pending settlement monitoring, fail resolution, and escalation of aged or high-risk items.Partner with internal and external stakeholders to resolve cash, security, position, and settlement-related breaks in a timely and controlled manner.Asset Servicing & Lifecycle EventsSupport asset servicing activities across traditional securities products, including dividends, interest, redemptions, corporate actions, reorganizations, entitlement validation, and related downstream impacts.Coordinate with Asset Servicing, Settlements, Risk, Control, and other Operations teams to investigate event-related discrepancies and ensure accurate lifecycle processing.Reconciliations, Risk & Control GovernancePerform daily reconciliations across trade, cash, securities, and position activity; investigate exceptions, identify root causes, and support timely remediation.Adhere to documented procedures and control frameworks; escalate operational risk items, aged breaks, unresolved exceptions, and control concerns in accordance with established protocols.Stakeholder Coordination & Global CoverageCollaborate with Mumbai, U.S., and global Operations teams to support handoffs, follow-the-sun coverage, overnight monitoring, and continuity across time zones.Develop strong relationships with Trade Support, Asset Servicing, Clearance, Settlement, Technology, Risk, Finance, and business stakeholders to support accurate, timely, and resilient processing.Experience supporting traditional securities...