Custody Operations (Mumbai)

Custody Operations (Mumbai)

28 Sep
|
Alpha Alternatives
|
Mumbai

28 Sep

Alpha Alternatives

Mumbai

KEY RESPONSIBILITIES

- Manage day-to-day Custodian, Clearing and Settlement operations and relationships for equity, debt, money market and other permitted investments.
- Ensure accurate and timely securities and cash reconciliation between Custodian, Banks, Brokers, Clearing Corporation and Fund Accounting records.
- Monitor trade confirmation, allocation, settlement, pay-in/pay-out, failed trades and settlement exceptions.
- Monitor and process corporate actions and ensure timely collection/reconciliation of scheme entitlements.
- Manage daily scheme-wise treasury and cash positions, including expected inflows/outflows and payment obligations.
- Monitor liquidity requirements including intra-day borrowing for redemptions, investments, settlements, margin obligations, distributions and other scheme commitments.
- Prepare cash-flow forecasts and maintain adequate liquidity buffers while minimising idle cash
- Prepare daily/periodic Cash, Liquidity, Settlement, Custody and Reconciliation MIS for Senior Management/Fund Managers.
- Monitor margin and collateral requirements and ensure timely funding/release.
- Establish SOPs, maker-checker controls and exception monitoring for custody and treasury operations.
- Monitor applicable SEBI/AMFI, exchange, clearing and depository requirements and implement necessary process changes.

KEY SKILLS

- Custody, Clearing & Settlement: Strong understanding of end-to-end trade lifecycle, settlement processes, pay-in/pay-out, failed trades and settlement exceptions.
- Treasury & Liquidity Management: Expertise in scheme-wise cash management, liquidity planning, cash-flow forecasting, funding requirements and optimisation of idle cash.
- Capital Markets Operations: Good knowledge of Equity, Debt, Money Market, Derivatives and other permitted investment products.
- Reconciliation: Strong experience in securities, cash, bank, custodian, broker,



clearing corporation and fund accounting reconciliations.
- Margin & Collateral Management: Understanding of margin funding, collateral movement, utilisation, release and reconciliation.
- Corporate Actions: Knowledge of processing, monitoring and reconciliation of dividends, interest, redemptions, bonus, splits and other corporate actions.
- Management MIS & Reporting: Ability to prepare and analyse daily/periodic Treasury, Cash, Liquidity, Settlement, Custody and Reconciliation MIS and provide actionable insights to Senior Management and Fund Managers.
- Data Analysis & Excel: Strong MS Excel skills including data analysis, MIS preparation, reconciliations, dashboards and exception reporting.
- Operational Controls & Risk Management: Strong understanding of SOPs, maker-checker controls, exception management, process controls and operational risk mitigation.
- Regulatory Knowledge: Good understanding of applicable SEBI, AMFI, RBI, Exchange, Clearing Corporation and Depository regulations and operational requirements.
- Stakeholder Management: Effective coordination with Custodians, Banks, Brokers, Clearing Corporations, RTA, Fund Accountants, Fund Managers and Internal Teams.
- Process Improvement & Automation: Ability to identify operational gaps and implement process improvements, automation and control enhancements.
- Problem Solving: Strong analytical and problem-solving skills with the ability to manage time-sensitive settlement, liquidity and operational issues.
- Communication & Team Management: Solid written and verbal communication, coordination and team-management skills with the ability to work effectively under strict market timelines.

QUALIFICATION

CA / CFA / MBA Finance / M.Com / Graduate in Commerce or Finance. Relevant Capital Markets / Treasury / Operations qualification preferred.

EXPERIENCE

58 years of relevant experience in Mutual Fund AMC preferred.

📌 Custody Operations (Mumbai)
🏢 Alpha Alternatives
📍 Mumbai

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