Posted By
178
JOB VIEWS
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APPLICATIONS
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Posted in
Banking & Finance
Job Code
1359040
PRINCIPAL ACCOUNTABILITIES
1. Reporting and coordination:
- Preparing Daily Cash Flow and communicating to Fund Managers.
- Uploading various reports in Cash Management System.
- Identifying , verifying and timely utilization of all scheme wise collection in various bank account promptly.
- Responsible for timely redemption payout to all investors, funding respective bank scheme accounts, movement of fund from various collection account to operating account and transferring funds to scheme wise custody account on a timely basis.
- Monitoring of fund inflow in various banks for Liquid / Debt / Equity transaction and reporting the same to Fund Manager through Cash Flow System.
- Verifying all purchase transaction received in Cash Flow System and matching the credit received in various bank with the transaction received, ensuring all transaction are reported in Cash Management System by all Investor Service Executives.
- Preparing bank instruction and upload -electronically / through secured mode as per the format of bank and ensuring timely authorization of collection ensuring all transaction are processed by the bank before the RTGS / NEFT cut off time.
- Co-ordination with all Customer Service Team / Branch Coordinator across all locations, R&T agents, banks for resolution of queries relating to collection/redemption/transfers.
- Interacting with bankers with regard to the daily bank transactions.
- Preparation of projected / daily estimated Funding (Redemption outflow) and reporting the same to fund managers.
- Audit coordination (Annual / Concurrent /Internal / External )
- Acting as a backup for Settlement desk.
2. Reconciliation:
- Coordination with Custodian / Fund Accountant / RTA Agent for Reconciliation and ensure that breaks, if any are resolved within stipulated time.
3. Research:
Researching, as assigned, on the automation and product offered by different Banks relating to Industry.
4. DECISIONS
- Implementation of New Regulations issued by SEBI, RBI, FIU and AMFI from time to time.
- Ensuring Banking Relations are maintained and coordinated.
5. CHALLENGES
- Process Adherence & Data Accuracy at Custodian/ Bank levels
- Timely submission Cash Flow to Fund Managers
- Reconciliation Controls and
- Audit coordination (Annual / Concurrent /Internal / External )
6. INTERACTIONS
Internal Clients
Roles you need to interact with inside the organization to enable success in your day to day work
Internal teams like RTA Operations, Investments, Sales, Compliance & Risk, CEO Office etc.
External Clients
Roles you need to interact with outside the organization to enable success in your day to day work
Fund Administrations and Custodians
Banks & Payment Aggregators
RTA Team & KRAs
Auditors and Vendors
7. SKILLS AND KNOWLEDGE
a) Qualifications
Bachelor of Commerce or Master of Commerce or any other equivalent qualification
b) Work Experience
Approximately 7 to 10 years work experience ( 7+ Years managing MF Schemes either directly or through vendors)
Strong knowledge of Banking operations
MS Office Suite Proficiency - Preferably knows to write excel macros
c) Behavioral skills:
- Strong team player, organized and possess high attention to detail
- Excellent communication and interpersonal skills
- Orientation to servicing and managing stakeholders
- Self-starter and high energy levels
- Positive and enthusiastic
- Strong professional credibility, integrity
- Resourceful
- Managing conflicts
- Good listening skills - Will challenge constructively and respond well to feedback
- Ability to deal with ambiguity
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Posted By
178
JOB VIEWS
22
APPLICATIONS
22
RECRUITER ACTIONS
See how you stand against competition
Pro
View Insights
Posted in
Banking & Finance
Job Code
1359040
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