06 Aug
|
Aditya Birla Insulators
|
Mumbai
06 Aug
Aditya Birla Insulators
Mumbai
Area
Description
A)
Fund Set Up
Proactively involved in End to End Current Fund Set up.
This involves active coordination with all Internal as well External stakeholders
PPM/Scheme documents of the AIF/PMS is throughly vetted before the same is approved by the regulator
Ensure all requisite accounts Bank, Demat, Custody, Fund Accountant, Trading are opened
Equip with all requisite registration including but not limited to Income Tax, GST, LEI, K1 etc
B)
Fund Accounting
Timely and accurate execution of the various fund accounting processes
Close Coordination with Fund Accountant and RTA to ensure NAV is released on timely basis
Ensuring Error free Scheme mapping and masters are created in both internal as well with the Fund Accountant
C)
Cash Flow Management
This comprises of monitoring Cash Flow of the Funds
Both Inflow & Outflows from the Fund is reconciled on real time basis
Coordination with the Fund Management team to intimate Subscription & redemption from the funds
D)
Trade Settlement
Ensure timely & error free execution of Trades & settlement thereon
Ensure all holdings are duly reconciled on daily basis such that there is no breaks in settlement & trade reporting
Active Coordination with the Custodian to meet this leg of activity
E)
Reconciliation
Ensure all reconciliation Holding, Bank, Demat are performed at predefined intervals
Breaks if any are resolved on real time basis
F)
Audits, Scheme Ficials
Regulatory reporting
Ensure Audits Statutory, Internal, Risk are completed within time frame
This involves collecting and sharing complete Audit Data from Fund Accountant, Custodian, RTA etc
This also involves resolving/addressing the queries of the Auditors to avoid any escalations
Compliance of multiple regulatory reporting which includes SEBI, Income Tax, GST, Benchmark, APMI, Inscpection etc
Liaison with Auditors, internal stake holders and vendors for efficient audit program management
G)
Vendor Management
Coordinate with the vendors for data requirements and adhoc issues.
Checking of various reportings by the fund accountant.
Periodic review and monitoring the service delivery visavis the SLA.
F)
Brokerage Computation
Ensure error free brokerage payable to distributors is computed on timely basis.
This also includes Clawback & Exit Load working
G)
Management Reporting
Active participation in preparing and discussing all MIS reports with the management
Setting up calls with relevant internal stakeholder to update, intimate on various developments
H)
Tax & Regulatory Update
Converse with all relevant updates on Tax and Laws
Disclaimer : This job posting has been aggregated from external source. Role details, content, and availability are subject to change. Applicants are advised to confirm the latest information directly on the company website before applying.
📌 Team Member - AIF Operations (Mumbai)
🏢 Aditya Birla Insulators
📍 Mumbai