Responsibilities : Daily
1. QC on Payout instruction in funding summary (175CSV)
2. Manage payment for Clients (Internal : house transfer and External : GIRO / Rentas Transfer)
3. Compile and bank in cheque into client’s bank account.
4. Prepare booking for Money Market and Wholesale Fund.
5. Prepare Pre-notification for money market fund
6. Scan and upload EPF Withdrawal Application.
7. Compile SIP Enrolment Registration.
8. Perform Document Tracking.
9. QC-Checking for original forms and Confirmation Advice.
10. Provide QC-Finding on CA to Head OfficeTeam.
11. Update and Sending Pending Tracker.
12. Prepare and checking of upfront rejection letter.
13. Form segregation and tagging.
14. Prepare EPF Manual submission cases.
Weekly
15. SIP Billing (5th / 15th / 20th / 28th)
16. Report EPF Pending cases more than 10 days
17. Response to follow up cases for uncleared and discrepancy
18. Check SIP rejection letter
19. Send SIP form to bank
20. Send physical EPF form to be submitted to EPF office to Client
Requirements :
Sub Specialization : Finance;Others Type of Employment : Permanent Minimum Experience : 1 Year Work Location : Kuala Lumpur
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Associate Operation • Kuala Lumpur