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Operations

Job Duties:

  • Daily trade execution: Prepare and process trade orders and settlements for funds linked to unit-linked products, coordinating with fund houses using data from the fund administration system.
  • Issue resolution: Liaise with fund houses and service providers to address and resolve trade or settlement discrepancies.
  • Fund reporting: Compile and distribute daily fund valuation reports to external providers for pricing and accounting purposes.
  • NAV validation: Perform reasonableness checks on daily NAV reports and fund prices provided by external service providers.
  • Workflow management: Oversee end-to-end processes within the fund administration system, including:

    • Verifying and importing policy transaction reports
    • Generating trade orders and initiating fund transfers
    • Maintaining fund holiday tables
    • Uploading underlying fund prices and publishing fund pricing
  • Ad hoc support: Handle special projects and requests as assigned by management.