Posted By
Posted in
Banking & Finance
Job Code
1314167
- Co-ordinating with sales team and collection banker and ensure accuracy in collection bank reconciliation, onboarding paperwork
- Activation of client accounts as per TATs and ensuring correct accounting thereof ensuring accurate accounting of processing fees, entry load etc. to new clients
- Timely deployment of investor funds and coordinating with portfolio manager and investments team to ensure accuracy in trade settlement
- Ensuring accounting of all trade transactions and corpus, expense transactions pertaining to fresh activations, additional investments in system
- Co-ordinating with FA team for reconciliation issues, Monthly / quarterly review and closure of the financial statements
- Managing day to day fund transfers and ensuring control over bank accounts
- Ensuring timely payouts of management and other fees to AMC
- Vendor payments, Analyses the performance of the client portfolios and report to the PMS - Fund Manager on a regular basis and suggest actions to be taken
- Preparation of valuation of Debt Securities for investments
- Calculation and allocation of realised and unrealised gains on portfolio and mutual funds investments for all the clients
Expected skill sets:
- Good Academic background with statistical understanding will be an added advantage.
- Knowledge of PMS operations, regulations and reporting along with financial markets, equity and debt and dealing in it
- Proficient in excel and returns calculation and reporting with respect to debt and equity market.
- Good Communication skills
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Posted By
Posted in
Banking & Finance
Job Code
1314167