Posted By
Posted in
Banking & Finance
Job Code
950983
ESSENTIAL DUTIES AND RESPONSIBILITIES (Key Accountabilities) :
- Responsible for managing a team of 30+ FTEs engaged in Transaction and Client Cash services
- Should have good knowledge of Mutual Fund / Hedge Fund products and Capital market
- Good Interpersonal and communication skills - written and verbal
- Should have in-depth knowledge of Corporate Actions, Asset servicing, Incomes, Transaction processing, reconciliation, etc.
- Should have knowledge of Capital Markets working in AMCs, broking houses, Registrar/Transfer agents and Custodians
- Should have relevant experience in Market Value Reconciliation, Expense Accounting postings, including Management Fee, Admin Fee and Incentive Fee, Dividend Accrual Reconciliation, Bond Coupon Accrual Reconciliation,
- Exposure to trading instruments like Equities, Options, Bonds, Futures, Spots and Forwards, Bank Debts, Credit Default Swaps (CDS) and Contract for Difference (CFD Swaps).
- Hands on experience in using Bloomberg Terminal for searching information on Corporate Actions, verifying coupon accruals for bonds and Price for securities.
- Bookings of Equities, Futures, Options, CFD, Fixed-Income, ABS, Spots & Forwards and settling the same in its due settlement into the accounting system as per broker.
- Exposure Accounting services of a Custodian Bank
EDUCATION/EXPERIENCE :
The minimum education requirements:
University degree (B. Com, MBA) in Business majoring in Accounting, Finance, or another Financial-related program.
The minimum experience requirements:
At least 6 - 9 years of experience in the capital market.
CONTINUING EDUCATION & COMPETENCY REQUIREMENTS:
Highly proficient with Microsoft Office Products (Excel, Word)
SKILLS AND COMPETENCIES:
- To manage a team of 30+ and should be able to motivate and provide guidance
- Ability to work in a deadline-oriented group with peak period workflow
- Should keep a track of daily deliverables and deadlines and ensure team's adherence to KPIs
- Tracking the error log and conduct of RCA
- Flexibility to work in night shifts
- Attending to team's escalation in a timely manner
- Perform timely and regular reporting to management
- Participate in the development and periodic review of training programs and facilitate training programs.
- Manage team assignments in conjunction with client deliverables.
- Create & periodically update SOP's for the process
- Drive automation / value addition projects
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Posted By
Posted in
Banking & Finance
Job Code
950983