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Securities Operations Analyst (Trust & Investment Services) - Hybrid

M&T Bank

Securities Operations Analyst (Trust & Investment Services) - Hybrid

full-timePosted: Jan 27, 2026

Job Description

Overview:

As a Securities Operations Analyst, you’ll be at the center of our securities processing engine – providing analytical, operational and/or project support to the Free Movement team. You’ll assist the team with a high volume of securities transactions and related account activities, recon reports, research and more. The work is not client‑facing, but your precision, speed, and collaboration directly impact client outcomes and our brand. Analysts see variety week to week, with heavier reconciliation and problem‑solving than the Associate level position.

What You’ll Do:

  • Execute securities transactions at scale: Processing of various transactions for movement This includes but is not limited to pending transactions for equities, fixed income, asset backed securities, mortgage backed securities, physical securities, corporate and municipal bonds.

  • Own reconciliation and controls: Perform routine and judgment‑based reconciliation, research, and data quality checks to resolve discrepancies and maintain accuracy of accounts.

  • Document & improve workflows: Draft/edit desk‑level procedures, keep SOPs current, and contribute to control enhancements that reduce error risk.

  • Support audits & certifications: Gather documentation for departmental audits; help facilitate user certifications and access reviews.

  • Partner across desks and teams: Coordinate with internal business partners to troubleshoot issues and meet tight timelines.

  • Enable change & testing: Participate in planning, testing, and implementing new projects, systems, products, and regulatory changes that impact Trust Operations.

  • Deliver internal customer service: Accurately execute changes submitted by Relationship Managers with a premium on precision, speed, and clear communication.

  • Uphold risk & regulatory standards: Follow company policies, risk appetite, and internal control standards; escalate risk‑related issues promptly.

  • Tools you’ll use: Excel, Outlook, Word, SharePoint (heavy usage for tracking, documentation, timing).

  • Strengthen the team: Participate in cross training other team members

What Makes You a Great Fit:

  • You enjoy balancing accounts, calculating, and working with a lot of numbers.

  • You’re detail‑oriented, organized, and calm under time pressure.

  • You bring a strong sense of ownership, accuracy, and urgency.

  • You’re collaborative, responsive, and comfortable working from shared mailboxes and structured workflows.

  • You’re curious and willing to learn securities operations and settlement mechanics.

Education and Experience Required:

  • Associate’s degree, or equivalent work experience

  • 2+ years’ related experience

Education and Experience Preferred:

  • Banking or financial operations experience, or equivalent experience in high‑volume, detail‑oriented operations.

  • Comfort with balancing accounts, working with numbers, and reconciliation; strong attention to detail and accuracy.

  • Proficiency with Excel (filters, lookups, reconciliations), Outlook, Word, and SharePoint.

  • Strong organization, time management, and ability to prioritize during peak periods.

  • Clear written and verbal communication in a non‑client‑facing, internal service environment.

  • Experience with trust operations, custody/settlement, or brokerage operations (DTC, Fedwire/Fed assets, corporate actions, gifting).

  • Familiarity with audit documentation, access certifications, and risk/control frameworks.

  • Bachelor’s degree (any field); we welcome recent graduates with relevant internships or strong quantitative/operational aptitude.

Work Model & Location:

  • This is a hybrid role requiring in-office presence.

  • Eligible candidates must live within reasonable commuting distance to 626 Commerce Drive, Amherst, NY 14228.

Scheduled Shift/Required Availability:

  • Monday-Friday, 8:30am-5:00pm

M&T Bank is committed to fair, competitive, and market-informed pay for our employees. The pay range for this position is $22.61 - $37.67 Hourly (USD). The successful candidate’s particular combination of knowledge, skills, and experience will inform their specific compensation.

Location

Amherst, New York, United States of America

Locations

  • Amherst, New York, United States

Salary

47,070 - 78,357 USD / yearly

Estimated Salary Rangehigh confidence

47,070 - 82,274 USD / yearly

Source: Disclosed

* This is an estimated range based on market data and may vary based on experience and qualifications.

Skills Required

  • Balancing accounts and working with numbersintermediate
  • Detail-oriented and organizedintermediate
  • Strong sense of ownership, accuracy, and urgencyintermediate
  • Collaborative and responsiveintermediate
  • Proficiency with Excel (filters, lookups, reconciliations)intermediate
  • Proficiency with Outlook, Word, and SharePointintermediate
  • Strong organization and time managementintermediate
  • Clear written and verbal communicationintermediate
  • Curiosity and willingness to learn securities operations and settlement mechanicsintermediate

Required Qualifications

  • Associate’s degree, or equivalent work experience (experience)
  • 2+ years’ related experience (experience)

Preferred Qualifications

  • Banking or financial operations experience, or equivalent experience in high-volume, detail-oriented operations (experience)
  • Comfort with balancing accounts, working with numbers, and reconciliation; strong attention to detail and accuracy (experience)
  • Proficiency with Excel (filters, lookups, reconciliations), Outlook, Word, and SharePoint (experience)
  • Strong organization, time management, and ability to prioritize during peak periods (experience)
  • Clear written and verbal communication in a non-client-facing, internal service environment (experience)
  • Experience with trust operations, custody/settlement, or brokerage operations (DTC, Fedwire/Fed assets, corporate actions, gifting) (experience)
  • Familiarity with audit documentation, access certifications, and risk/control frameworks (experience)
  • Bachelor’s degree (any field); we welcome recent graduates with relevant internships or strong quantitative/operational aptitude (experience)

Responsibilities

  • Execute securities transactions at scale: Processing of various transactions for movement including pending transactions for equities, fixed income, asset backed securities, mortgage backed securities, physical securities, corporate and municipal bonds
  • Own reconciliation and controls: Perform routine and judgment-based reconciliation, research, and data quality checks to resolve discrepancies and maintain accuracy of accounts
  • Document & improve workflows: Draft/edit desk-level procedures, keep SOPs current, and contribute to control enhancements that reduce error risk
  • Support audits & certifications: Gather documentation for departmental audits; help facilitate user certifications and access reviews
  • Partner across desks and teams: Coordinate with internal business partners to troubleshoot issues and meet tight timelines
  • Enable change & testing: Participate in planning, testing, and implementing new projects, systems, products, and regulatory changes that impact Trust Operations
  • Deliver internal customer service: Accurately execute changes submitted by Relationship Managers with a premium on precision, speed, and clear communication
  • Uphold risk & regulatory standards: Follow company policies, risk appetite, and internal control standards; escalate risk-related issues promptly
  • Tools you’ll use: Excel, Outlook, Word, SharePoint (heavy usage for tracking, documentation, timing)
  • Strengthen the team: Participate in cross training other team members

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M&T Bank logo

Securities Operations Analyst (Trust & Investment Services) - Hybrid

M&T Bank

Securities Operations Analyst (Trust & Investment Services) - Hybrid

full-timePosted: Jan 27, 2026

Job Description

Overview:

As a Securities Operations Analyst, you’ll be at the center of our securities processing engine – providing analytical, operational and/or project support to the Free Movement team. You’ll assist the team with a high volume of securities transactions and related account activities, recon reports, research and more. The work is not client‑facing, but your precision, speed, and collaboration directly impact client outcomes and our brand. Analysts see variety week to week, with heavier reconciliation and problem‑solving than the Associate level position.

What You’ll Do:

  • Execute securities transactions at scale: Processing of various transactions for movement This includes but is not limited to pending transactions for equities, fixed income, asset backed securities, mortgage backed securities, physical securities, corporate and municipal bonds.

  • Own reconciliation and controls: Perform routine and judgment‑based reconciliation, research, and data quality checks to resolve discrepancies and maintain accuracy of accounts.

  • Document & improve workflows: Draft/edit desk‑level procedures, keep SOPs current, and contribute to control enhancements that reduce error risk.

  • Support audits & certifications: Gather documentation for departmental audits; help facilitate user certifications and access reviews.

  • Partner across desks and teams: Coordinate with internal business partners to troubleshoot issues and meet tight timelines.

  • Enable change & testing: Participate in planning, testing, and implementing new projects, systems, products, and regulatory changes that impact Trust Operations.

  • Deliver internal customer service: Accurately execute changes submitted by Relationship Managers with a premium on precision, speed, and clear communication.

  • Uphold risk & regulatory standards: Follow company policies, risk appetite, and internal control standards; escalate risk‑related issues promptly.

  • Tools you’ll use: Excel, Outlook, Word, SharePoint (heavy usage for tracking, documentation, timing).

  • Strengthen the team: Participate in cross training other team members

What Makes You a Great Fit:

  • You enjoy balancing accounts, calculating, and working with a lot of numbers.

  • You’re detail‑oriented, organized, and calm under time pressure.

  • You bring a strong sense of ownership, accuracy, and urgency.

  • You’re collaborative, responsive, and comfortable working from shared mailboxes and structured workflows.

  • You’re curious and willing to learn securities operations and settlement mechanics.

Education and Experience Required:

  • Associate’s degree, or equivalent work experience

  • 2+ years’ related experience

Education and Experience Preferred:

  • Banking or financial operations experience, or equivalent experience in high‑volume, detail‑oriented operations.

  • Comfort with balancing accounts, working with numbers, and reconciliation; strong attention to detail and accuracy.

  • Proficiency with Excel (filters, lookups, reconciliations), Outlook, Word, and SharePoint.

  • Strong organization, time management, and ability to prioritize during peak periods.

  • Clear written and verbal communication in a non‑client‑facing, internal service environment.

  • Experience with trust operations, custody/settlement, or brokerage operations (DTC, Fedwire/Fed assets, corporate actions, gifting).

  • Familiarity with audit documentation, access certifications, and risk/control frameworks.

  • Bachelor’s degree (any field); we welcome recent graduates with relevant internships or strong quantitative/operational aptitude.

Work Model & Location:

  • This is a hybrid role requiring in-office presence.

  • Eligible candidates must live within reasonable commuting distance to 626 Commerce Drive, Amherst, NY 14228.

Scheduled Shift/Required Availability:

  • Monday-Friday, 8:30am-5:00pm

M&T Bank is committed to fair, competitive, and market-informed pay for our employees. The pay range for this position is $22.61 - $37.67 Hourly (USD). The successful candidate’s particular combination of knowledge, skills, and experience will inform their specific compensation.

Location

Amherst, New York, United States of America

Locations

  • Amherst, New York, United States

Salary

47,070 - 78,357 USD / yearly

Estimated Salary Rangehigh confidence

47,070 - 82,274 USD / yearly

Source: Disclosed

* This is an estimated range based on market data and may vary based on experience and qualifications.

Skills Required

  • Balancing accounts and working with numbersintermediate
  • Detail-oriented and organizedintermediate
  • Strong sense of ownership, accuracy, and urgencyintermediate
  • Collaborative and responsiveintermediate
  • Proficiency with Excel (filters, lookups, reconciliations)intermediate
  • Proficiency with Outlook, Word, and SharePointintermediate
  • Strong organization and time managementintermediate
  • Clear written and verbal communicationintermediate
  • Curiosity and willingness to learn securities operations and settlement mechanicsintermediate

Required Qualifications

  • Associate’s degree, or equivalent work experience (experience)
  • 2+ years’ related experience (experience)

Preferred Qualifications

  • Banking or financial operations experience, or equivalent experience in high-volume, detail-oriented operations (experience)
  • Comfort with balancing accounts, working with numbers, and reconciliation; strong attention to detail and accuracy (experience)
  • Proficiency with Excel (filters, lookups, reconciliations), Outlook, Word, and SharePoint (experience)
  • Strong organization, time management, and ability to prioritize during peak periods (experience)
  • Clear written and verbal communication in a non-client-facing, internal service environment (experience)
  • Experience with trust operations, custody/settlement, or brokerage operations (DTC, Fedwire/Fed assets, corporate actions, gifting) (experience)
  • Familiarity with audit documentation, access certifications, and risk/control frameworks (experience)
  • Bachelor’s degree (any field); we welcome recent graduates with relevant internships or strong quantitative/operational aptitude (experience)

Responsibilities

  • Execute securities transactions at scale: Processing of various transactions for movement including pending transactions for equities, fixed income, asset backed securities, mortgage backed securities, physical securities, corporate and municipal bonds
  • Own reconciliation and controls: Perform routine and judgment-based reconciliation, research, and data quality checks to resolve discrepancies and maintain accuracy of accounts
  • Document & improve workflows: Draft/edit desk-level procedures, keep SOPs current, and contribute to control enhancements that reduce error risk
  • Support audits & certifications: Gather documentation for departmental audits; help facilitate user certifications and access reviews
  • Partner across desks and teams: Coordinate with internal business partners to troubleshoot issues and meet tight timelines
  • Enable change & testing: Participate in planning, testing, and implementing new projects, systems, products, and regulatory changes that impact Trust Operations
  • Deliver internal customer service: Accurately execute changes submitted by Relationship Managers with a premium on precision, speed, and clear communication
  • Uphold risk & regulatory standards: Follow company policies, risk appetite, and internal control standards; escalate risk-related issues promptly
  • Tools you’ll use: Excel, Outlook, Word, SharePoint (heavy usage for tracking, documentation, timing)
  • Strengthen the team: Participate in cross training other team members

Target Your Resume for "Securities Operations Analyst (Trust & Investment Services) - Hybrid" , M&T Bank

Get personalized recommendations to optimize your resume specifically for Securities Operations Analyst (Trust & Investment Services) - Hybrid. Takes only 15 seconds!

AI-powered keyword optimization
Skills matching & gap analysis
Experience alignment suggestions

Check Your ATS Score for "Securities Operations Analyst (Trust & Investment Services) - Hybrid" , M&T Bank

Find out how well your resume matches this job's requirements. Get comprehensive analysis including ATS compatibility, keyword matching, skill gaps, and personalized recommendations.

ATS compatibility check
Keyword optimization analysis
Skill matching & gap identification
Format & readability score

Tags & Categories

R81961MTB

Answer 10 quick questions to check your fit for Securities Operations Analyst (Trust & Investment Services) - Hybrid @ M&T Bank.

Quiz Challenge
10 Questions
~2 Minutes
Instant Score

Related Books and Jobs

No related jobs found at the moment.