Fund Services Officer
Bangkok, Bangkok, TH, 10500
Responsibilities:
- NAV checking, verification, and other related task to Fund Services and reporting (end to End NAV processing task)
- Recording cash entries into accounting system, Overview of cash processing task and Perform reconciliation.
- Promptly communicate with Client while encounter cash shortfall or NAV mismatching
- Liaise with Corporation action and Settlement team for completeness of corporate/Trade Settlement entries in Fund Accounting system
- Support client with ad hoc reporting request
- Support team in developing a process that help create greater team’s efficiency
- Work closely with team and Manager, encouraging team effort as well as backup support
- Assisting/overviewing of instruction indexing task
- Assisting fee billing team with data provision for Fee recording
- Supporting Admin team with data provision for client’s OIC reporting
- Interact with core banking department and another 3rd party bank with fund’s related transaction.
Qualification:
- Bachelor’s degree with some experience of work
- Good attitude & Be cautious
- Good command of English in Read, Write
- Computer usage - Microsoft office, Excel, Word and typing
- Basic knowledge of calculation
- Accept workload and able to work overtime