The Funds Execution Team ensures the execution of all orders on investment funds, in the Wealth Management (WM) business line. At the heart of the Operations HUB, it provides its expertise to numerous WM sites. The team delivers a tailor-made experience,with outstanding attention to details to all WM clients
Principais responsabilidades
- Execution of investment fund orders with custodians/transfer agents, in compliance with cut-offs
- Monitoring executed orders, pending's orders, contract notes and reminders to the counterparties. Also, control the order book (the pre and post execution controls)
- Processing and responding to internal customer requests in the shortest possible time
- Manage the treasury announcements to cover custodian accounts
- Controls and enrichment of fund values in the referential database
- Provide support to the customer sites of the WM Operations HUB processing on the platform
- Quickly manage issues or incidents in collaboration with counterparties and other operational services
- Participation to the continuous improvement of the team and processes, with frequent suggestions and highlights and participate actively in projects and developments within the team systems
- Provide training to new joiners
- Provide feedback and follow-up on specific topics to the Team Leader and act on escalations whenever is requested. Provide also help, and support, the Team Leader on all needed controls (KSP, KPI, Incident Reportings, Service Reviews)
Perfil desejado
- Bachelor's Degree in Economics, Finance, Accounting or Business Management
- At least 3 years of Experience in Banking and Financial Operations
- Proficiency in Microsoft Office Pack (MS Excel, and MS Access)
- Fluent in English
- Ability to understand, explain and support change
- Attention to detail/rigor
- Client focused
- Adaptability
- Communication skills - oral & written
- Decision Making
Benefícios adicionais
A good opportunity for your professional development and growth.