Team Member, Team Member, Investment Operations and Fund Accounts
Academic/Professional:
- BSc. Degree from a reputable Tertiary Institution and preferably from a numerate field (Sciences, Engineering, Economics or Finance). Diploma in Investment Operations (CISI UK) or/and CFA level 1 is an advantage Relevant postgraduate (MSc, MBA) and/or professional qualification (ACA/ACCA etc) would be an added advantage.
Work experience:
- Minimum 1 year work experience.
Job Level:
- This position has been profiled as a minimum Analyst role owing to the defined skill level, years of experience and complexities of the task to be performed.
Grade Level:
- This position has been profiled as a minimum Grade Level 8 owing to the defined skill level, years of experience and complexities of the task to be performed.
Key Responsibilities
- Collaborate with all the internal and external partners to ensure the business (and team) meets pre-agreed turnaround timeline.
- Frequent reconciliation of various accounts, or reviewing reconciliations prepared by others, and promptly researching and correcting any variances.
- Identify exceptions and problems affecting accounting records and prices, communicating same to Team Lead/Head, Investment Operations & Fund Accounts, and assisting in their resolution.
- Write reports periodically to management on Fund activities and other related issues.
- Deliver accurate and timely production and delivery of reporting to clients by ensuring efficient and accurate trade processing.
- Ensure daily reconciliation of all postings and ledgers on the CBAs vis-à-vis entries in bank.
- Provide guidance to relevant stakeholders on recommendations to resolve pending reconciliation items.
- Escalate all outstanding reconciliation items above agreed threshold and age to the Head, Investment Operations & Fund Accounts.
- Knowledge of the financial service industry with preference for Insurance Industry/Investment Business.
- Process all operating expenses related to the business from the appropriate bank accounts.
- Responsible for the filing and storage of all appropriate documentations.
- Responsible for the data integrity of all entries on the CBA.
- Ensure timely settlement of all wire transfers (inward or outwards) and related to investments.
- Ensure timely settlement of all financial securities with the relevant counterparties.
- Strong aptitude in decision-making, time management and problem solving.
- Superior analytical & critical thinking skills; ability to make good decisions when faced with complex data.
- Ability to multi-task; juggle multiple deliverables and perform under very demanding conditions.
- Stay abreast of regulatory reform and impact on the business; and helps to ensure the business is best positioned to respond
- Identify exceptions and problems affecting accounting records and prices, communicating same to Team Lead/Head, Investment Operations & Fund Accounts, and assisting in their resolution.
Method of Application
Interested and qualified? Go to AXA Mansard on corporate.axamansard.com to apply
