We are looking for a proactive and detail-oriented individual to join our Product Support and Services team. This role offers the opportunity to work closely with fund houses, financial institutions, and internal stakeholders, while gaining hands-on experience in fund administration and back-office operations within the asset management industry.
Key Responsibilities :
- Fund & Bond Onboarding & Setup : Manage the complete onboarding process for both funds and bonds onto the platform, ensuring accurate data entry, proper documentation, and timely lodgment.
- Fund Administration : Verify and maintain the accuracy of fund-related information, including fund prices, income distribution details, documents, and fund sizes.
- Back Office Support : Provide operational support to external providers by preparing bank reconciliations, validating system-generated reports, updating account statuses, and ensuring all scheduled jobs are completed on time.
- Operational Processing : Perform account approvals, fund income distribution allocations, and prepare commission and trailer fee reports.
- Collaboration & Communication : Address enquiries from internal departments and liaise effectively with external parties such as banks and fund houses to ensure smooth operations.
Job Description :
Setting up the Unit Trust / Wholesale fund to be onboarded to the iFAST platform with accurate data, and ensure the whole process are completed, including lodgement of the fund with FIMM.Perform fund administration work by conducting checking the accuracy of fund information such as fund transaction details, fund income distribution details, fund document and fund size.Handle Unit Trust / Wholesale fund Corporate Action by notifying internal departments, financial advisers and investors once received notification from Fund Houses.To Provide Back Office support to an external provider on daily operations job functions such as preparation of Bank Reconciliations, check the accuracy of the report generated by system, Account status update, ensure all scheduled job completely run within timeline, etc.Set up both local and Regional Bond (Prelaunch IPO Bond, Secondary Bond, Certificate Deposit, Structured Bond Product) and conduct due diligence to ensure compliance.Perform new investment account approval.Perform fund income distribution allocation.To prepare commission and trailer fee reporting.To be involved in ad-hoc task as assigned by Supervisor.Handle enquiries from inter-departments and work collaboratively and follow up closely with external parties Fund Houses.Ensure the operating procedures are adhered to regulatory and company requirements.Participate in various Project and User Acceptance Testing relating to the enhancement of system to improve workflow.Job Requirements :
Candidate must possess at least a Degree in Accountancy / Banking & Finance / Business administration.Preferably executives specializing in banking or unit trust distribution.Proficient in Microsoft Excel and Word.Possess good communication and interpersonal skills.Self-motivated and able to multi-task.High level of attention to detail, hardworking and strong sense of responsibility.Able to work independently, reliable and always take initiative.Applicants are invited to email us a comprehensive resume with the following details via "Apply Now" button with :
(1) Qualifications
(2) Skills
(3) Working Experience
(4) Expected Salary
All applications will be treated in strict confidence. We regret that only shortlisted applicants will be notified.
Note : Job responsibilities / requirements are representative and are not intended to be a detailed list. Other tasks / abilities may be required of the incumbent, relative to the specific assignment.