Portfolio and compliance reporting background. • Sound knowledge of UCITS for
the European region and 1940 act for the United States. • Proficient knowledge
of investment products and deep understanding of all the financial instruments
deals in the mutual, insurance and institutional funds. • Ability to analyze the
complex alerts & warnings for the portfolio compliance and provide the suitable
solution for an alert & warning • Sound knowledge of security classification and
know about the GICS standard • Ability to communicate and any concern or issues
need to bring it to the notice of team leader
📌 Capital Market Fund Administration Team Member-BPS (India)
🏢 Hexaware
📍 India
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