To strengthen end-to-end ILP product investment support ensuring operational readiness, regulatory compliance and sustainable BAU support amid increasing scrutiny.
Key Responsibilities
- Provide end-to-end investment support for ILP products (self-managed and direct funds)
- Support ILP product launches, onboarding, lifecycle events and fund changes
- Oversee pricing validation, unit pricing accuracy and exception management
- Coordinate with distributors, custodians, fund managers and internal stakeholders
- Support ILP regulatory reporting, audit queries and ILP review requirements
- Ensure clear documentation, governance and ownership for ILP processes
- Identify automation and simplification opportunities across ILP workflows
- Act as SME for ILP investment operations and escalation point for issues
Key Requirements
- 6-10 years experience in ILP, investment operations or fund accounting
- Strong understanding of ILP structures, pricing and operational workflows
- Experience working with distributors / platforms / custodians
- Detail-oriented with strong control and risk awareness
- Experience in automation, workflow tools, or data platforms (e.g. data lakes, dashboards)
- Comfortable operating in a changing and high-scrutiny environment
- Hands-on, resilient, and comfortable managing ambiguity