Responsibilities:
- Accurately process and settle various unit trust orders (subscriptions, redemptions, transfers, switches) for both onshore and offshore funds, ensuring compliance with established policies.
- Manage timely follow-ups with Fund Houses/Transfer Agents, verify confirmations, and distribute necessary information to clients.
- Facilitate funding to Fund Houses and payments to clients; assist in investigating and resolving reconciliation breaks.
- Observe workflows, identify operational improvement opportunities, and contribute ideas. With guidance, support the development of practical solutions (e.g., using VBA) to streamline processes and assist in new product implementations.
- Monitor breaks, fails, and other operational issues, collaborating on resolution. Develop an awareness of operational risks and learn to identify and escalate potential issues clearly.
Requirement:
- Bachelor's degree in Finance, Business, Computer Science, or a related field.
- Ability to approach tasks with a critical eye, analyze information, and adapt to evolving situations.
- Eager to learn, understand existing processes, and thoughtfully contribute ideas for improvement. Comfortable asking questions and seeking understanding.
- Good verbal and written communication skills; ability to articulate information clearly.
Interested Applicants, please email your resume to [Confidential Information] (R1441955), stating the position as the subject title in the email. All Applications will be handled with strict confidentiality.
Rupa Kankariya EA License No. 02C3423 Personnel Registration No. R1441955
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