Key Responsibilities:
- Trade Accounting and Operations: Reconciling Trades, Position, Cash and Swap MTM against the counterparty or fund administrator, resolution of trade and settlement issues, managing the trade affirmation and confirmation process and managing cash settlements for the OTC positions
- Middle Office: Securities and Transaction Management including creation of securities, manual booking of trades, updating associated reference data and attributes and resolving exceptions, Asset Servicing and Corporate Action management across various asset classes and maintenance of general reference data
- Treasury: Treasury reference data management, managing margin-related movements, collateral management, securities lending, and collateral interest reconciliation
- Pricing: Review pricing outliers, handle manual pricing of securities and reconcile price differences between Arcesium's platform and Admin or Street counterparty
- Fund and Investor Allocations: Processing Investor Capital transactions, tracking and managing investor commitments, allocation of P&L; across fund structures at an investor account level and reconcile the investor level NAV components including capital, P&L; and management and incentive fees against the fund administrator.
Qualifications & Skills:
- A Postgraduate/Professional degree (CA, CFA, CPA) and/or a bachelor’s degree
- Good analytical and problem-solving skills
- Positive interpersonal skills with a collaborative attitude
- Good oral/written communications skills
- Ability to work under pressure and take on additional responsibilities
- Proficient in Microsoft Office applications, especially MS Excel