Posted By
Posted in
Banking & Finance
Job Code
437536
Roles & Responsibilities :
Responsibility related to monthly service delivery :
- Gathering and check of portfolio data received from Accounting (Hiport, Multifonds, others) Client/Market analytics (Bloomberg, factset), manager commentaries
- Calculation and Check of performances and risk figures in accordance with the industry standards (GIPS) as well as client service level agreement (SLA) requirements: Total/NAV returns, performances breakdowns, performance attribution, ex-ante and ex-post risk
- Generation and distribution of reports (Factsheets, Investment Reviews, Accounting Packs, Management reporting) data to third parties (ie: feeds to the clients internet sites) or other outputs (Investment Grids)
- Responsibilities related to daily service delivery: IRP is in the process of defining a new set of daily on line services accessible via Internet implying a new set of monitoring and control services to be handled by IRP Chennai OPS team.
- Management of relation with the Client or the internal IRP team receiving the services
- Managing the relation and answering client queries
- Maintain the client service KPI's
- Participating and organizing regular client services reviews
- Maintain high level of understanding of the client requirements an concerns
Business development :
- Work in close cooperation with the global and local (AsiaPac) client development teams for supporting sales process and RFP's
Management of production KPI- s, follow up of queries :
Participation to IRP Systems evolution :
- Definition of requirements
- Participation to acceptance
- Synchronization of new releases deliveries with end client/user
- Development of the BPSS Performance Measurement Systems - IRP
- Recommend and implement improvements to service for both clients and BPSS Investment, in terms of efficiencies and new products and services
- Ensure a robust and automated performance process in a controlled environment
- Investigate, document, report and resolve issues and recommend corrective action where appropriate.
Knowledge and skills required :
- Strong understanding of financial markets, investment management and asset management
- Knowledge of performance attribution analysis, and calculation methods.
- Knowledge of statistical risk measures and how to calculate them.
- Excel, VBA
- Bloomberg, DataStream
- Portfolio reporting appreciated,
- Fund accounting understanding
- Effective communications skills. Good written and spoken English.
- Autonomy and self-motivated
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Posted By
Posted in
Banking & Finance
Job Code
437536