Job description
Responsibilities
- Account Opening
- Assist custody client to open cash and custody security account
- Daily Settlement Operations
- Execute funds settlement instructions from custody client
- Process remittance instructions and connect with operation department
- Conduct EOD reconciliation for multi-currency accounts and resolve discrepancies
- Maintain transaction records in clearing systems
- NAV Calculation
- Conduct daily NAV computation and verification for custody client
- Process corporate actions (dividends/splits) accounting
- Maintain pricing source data and validate external data feeds 4.Process Support
- Assist in optimizing SWIFT MT/MX message workflows
- Participate in basic Financial Infrastructure connectivity testing 5.Compliance Assistance
- Monitor settlement fails and prepare analysis reports
- Compile MAS-required settlement data reports
- Prepare financial data sections for periodic reports (annual/quarterly) per regulatory/client requirements Qualifications
- Bachelor or above in Finance/Economics or related field
- Operational knowledge of Custody or Operation Function
- At least 3 years settlement or valuation experience
- Custodian/Broker back-office experience **Only Shortlisted Candidates will be notified. Singaporeans and PRs are preferred.