Sharia Investment Operation
Jakarta, Indonesia Sales
Job description
You will responsible to:
Prepare daily settlement transactions and others regular request documents/agreement from Broker/Fund Manager/Bank/Custodian Bank i.e KYC, update authorized signatories, Due Dilligent etc.
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Prepare instruction for investment transactions and verify it against broker confirmation
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Reconcile the trades interfaces to investment back office system against Bloomberg AIM
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Execute the investment transactions to the custodian bank/banks
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Prepare several reporting and reconciliation
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Execute all the fees payment that related to porfolio reporting
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Prepare required documents requested by ounter parties i.e KYC, update authorized signatories, Due Dilligent etc
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Prepare the opening account form at the custodian bank and broker/bank for any launch fund
Job Requirement:
· Bachelor degree in related major
· Experience handling fund admin from insurance company or custodian bank
· Able working with Microsoft Office
· Able to work under strict deadline
· Excellent communication skill and
57210 | Asset & Investment Management | Professional | Non-Executive | Allianz Indonesia | Full-Time | Permanent
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