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Job Location | Mumbai City |
Education | Not Mentioned |
Salary | Not Disclosed |
Industry | Banking / Financial Services |
Functional Area | Finance / Accounts / Tax,Sales / BD |
EmploymentType | Full-time |
Cross-checking information received with other data sourcesReverting to local sub-custodians to clarify/solve any open issue.Analyzing the corporate event in order to anticipate any reporting or processing issues.Setting-up of financial information into the Custody systemCollecting and relay any update related to the corporate event on an on-going basis.Processing the securities reconciliation with sub-custodians client positions at the different steps of the event.Checking eligible positions of accounts within the local sub-custodianChecking that all eligible positions have been instructed at response deadline (for voluntary events only)Consolidating client instructions (for voluntary events only) Advising local market by sending instructions of participation to sub-custodian ((for voluntary events only)Checking that instructions of participation have been duly acknowledged by sub-custodian.Tracking of the payment date of the event in order to advise clients accordinglyProcessing payment of the event on client s account upon recovery of cash and/or securities from the local sub-custodianProcessing foreign exchange orders according to client s set up.Processing any manual adjustment related to cash or securities in order to finalize the recovery processJustifying any cash or securities breaks to Control Teams is happening on periodic basis.Participate in Brain Storming Sessions and share the best practices and ideas with the peer groups and team members.Consistently evaluate and update documented procedures to ensure they are complete, accurate and current.To be based in Chennai and prepared to travel as required.Must be prepared to work in any shift supporting Asia/Americas/European business hours.Technical & Behavioral CompetenciesStrong knowledge in handling corporate actions and income related events for various instrument typesExpertise in Using Banking Software s & overall awareness of using MS Word, Excel, PowerPoint etc.Able to clearly understand and envisage the SWIFT messages (MT564, MT565, MT567, MT568, MT599 etc). The Associate should read through the SWIFT message very comfortably and act on the amendments in the message ( Field - 23C: NEWM / REPL / CANC/ REVR etc)To create events for the respective teams (Mandatory, Voluntary, Income, DVOP & Tax) by analyzing and understanding the SWIFT messages with error free processing and high standards.Understanding the usage and implications of the Applications like Reflections, Intellimatch, MIDAS, and ISISET and apply it in daily BAU when required.Should be well versed in checking Client inbound and analyze whether the particular client / trade is eligible for the CA. If in case of any discrepancy, need to re-confirm with the ISISET application to check the status of trade.Need to perform the Entitlement and Eligibility reconciliation to forecast the payments and holdings in the future.Should be well versed with the Reflections especially with the functions like CMP, CCV,CCA,CTAK, CVVC etcShould be able to research and analyze the Nostri and Pivot breaks, then acting upon in resolving the breaks. Should be able to comfortably process the payments (Security & Cash) from MT 566 messages received without error and within specified time bound .Should be able to create instructions (Manual Instructions also) and deposit the message with due -diligence and accuracy.,
Keyskills :
customer relationsinsurancequalitysalesmisglobal custodyforeign exchangebanking softwarecorporate actionsoperational efficiency