As part of our Treasury and Settlement team, you will handle treasury management reports, settlement activity and provide support to the department.
Main Duties:
- Under general supervision, compile daily cash position and handle short term investment activities. Must ensure all activities are conducted in compliance with internal and external guidelines and regulations
- Monitor settlement on unit trust order activities and reconciliation of custody and bank accounts
- Assist to coordinate with fund manager on cash-flow needs and ensure sufficient funding for investment funds redemption purposes or other operational needs
- Handle KYC requests from banks and other financial institutions and follow up accounts’ maintenance with financial institutions
- Handle monthly cash and holdings reconciliation for investment funds to fulfill regulatory requirements
- Perform other job-related duties and ad hoc projects as required (such as audit confirmation, bank account opening, system enhancement, etc)