Trading operations encompasses the post‑execution lifecycle of financial trades. It begins with trade capture and booking, then proceeds through trade confirmation and matching, followed by clearing and settlement to ensure the exchange of securities and funds. The team handles reconciliations, resolves trade breaks, and analyzes P&L and risk exposure. They ensure strict regulatory compliance, reporting trades accurately to authorities. Additionally, they support trading platforms and liaise with traders, brokers, custodians, and middle‑office teams, often driving system enhancements and process improvements. Their role is critical for operational efficiency, risk mitigation, and maintaining trust in the trading infrastructure. $BNB