Job Description
- Process and validate mutual fund transactions including purchase, redemption, switches, and SIP/STP/SWP registrations and cancellations.
- Coordinate with Asset Management Companies (AMCs) for transaction execution and query resolution.
- Coordinate BSE order placements and confirmations.
- Handle Sub-debt form processing and documentation.
- Create and maintain NMF IINs (Investor Identification Numbers).
- Prepare and circulate daily/weekly/monthly MIS reports.
Candidate should be Graduate or above
1-2 yrs of relevant experience
Good communication skills
High level of Self Drive/Enthusiasm as a good learner.
Pay: ₹15,000.00 - ₹25,000.00 per month
Advantages:
- Health insurance
- Leave encashment
- Provident Fund
Work Location: In person
📌 OPERATIONS EXECUTIVE (Kochi)
🏢 Hedge Group of Companies
📍 Kochi
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