Will manage mutual fund form filling task.
Need to do client coordination.
Will be doing data management, mutual funds, ipo entries etc.
Preparing collating mutual fund reports.
Handle the general Office Administrative work .
Co-ordinating with fund houses for investor statements
Co-ordinating with investors regarding fund switches, new SIPs lump sums, redemptions etc.
Preparing collating mutual fund reports
Operating software for fund switches, new SIPs lump sums, redemptions etc.
Timely servicing of Mutual fund queries from the sales team.
Coordinate with cross functional teams like Mutual Fund Operations, Tech Operations and contact centre.
Should be efficient in customer service.
Basic understanding of various investment instruments i.e Mutual Funds, Bonds, Shares etc.
Knowledge of processing Paperwork related to investment including forms & cheques.
Data entry for all financial transactions
Making various MIS
Mutual Fund operations with hands on experience in reconciliation activities related to Brokerage / commission and other reconciliation activities
Has operational and order processing knowledge of Mutual Funds, IPO, NCDs, SGB, NCD etc
The role demands for TAT based working, teamwork, follow up with RTAs AMCs for internal external clients query.
The role requires good command over excel
Knowledge of BSE STAR MF, NSEMF
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