Key Responsibilities Handle end-to-end client onboarding KYC account opening and UCC creation across MF PMS AIF and broking platforms Coordinate with AMCs brokers RTA CAMS Karvy and custodians for execution of transactions redemptions switches and corporate actions Manage SIP STP SWP registrations reconciliations and renewals Track and ensure timely settlement of trades payouts and reporting Maintain accurate records of client investments in internal systems CRM Support compliance audit and regulatory reporting requirements Resolve client queries related to statements transactions and operational issues Coordinate with Relationship Managers and Research team for smooth workflow Ensure zero error in data entry MIS reporting and daily operational tasks Job Type Fresher Pay Up to 15 000 00 per month Application Question s Have you directly handled mutual fund PMS AIF equity back-office operations such as KYC account opening SIP STP SWP registrations transaction processing and reconciliations in your previous role Work Location In person