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Investment Operations Specialist
$ 8,000 - $ 11,000 / month
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Original
Simplified
- Supporting global offices - Work with the Sydney office and provide coverage to build a "follow the sun model".
- Trade Support -Assist the Boston and Sydney Trade Settlement group to facilitate the trade matching and settlement process, including China market trade matching.
- Oversee & Maintain Custodian Relationships -Work with the custodians to ensure an effective working relationship and to secure proper attention and maintenance of client accounts.
- Support for Trading Group - Complete custody holdings checks for the AsiaPac region, assist with spendable cash confirmation, and other requests as needed.
- Reconciliation of Account Holdings/Activity -Check portfolio holdings, trading activity, and cash balances while providing oversight with outsource providers, BNY and SS&C
- Corporate Action Processing - Assist the Sydney Manager with oversight and monitoring of corporate actions on Sydney-based accounts. Assist with creating and maintaining the outsource operating model for voluntary and mandatory corporate actions.
- Pre-Trade Compliance - Assist the trading group in validating any pre-trade compliance exceptions in a timely manner.
- Account Set up- Work with internal stakeholders in setting up accounts for new clients, including working with transition managers.
- Internal Inquiries - Assisting with internal inquiries, such as from the Trading, Compliance or Global Client Group.
- Bachelor's Degree in Mathematics, Economics, Finance, or a related field.
- At least 2 years of experience in fund accounting, operations, or investment management.
- Excellent analytical skills with knowledge of financial accounting principles.
- Proficiency in MS Windows & MS Office Suite.
- Familiarity with Charles River CRIMS, Omgeo CTM, and Omgeo Alert.
- Detail-oriented, flexible, and able to work both independently and in a team-oriented environment.
- Demonstrated problem-solving skills and ability to handle confidential information.
- Supporting global offices - Work with the Sydney office and provide coverage to build a "follow the sun model".
- Trade Support -Assist the Boston and Sydney Trade Settlement group to facilitate the trade matching and settlement process, including China market trade matching.
- Oversee & Maintain Custodian Relationships -Work with the custodians to ensure an effective working relationship and to secure proper attention and maintenance of client accounts.
- Support for Trading Group - Complete custody holdings checks for the AsiaPac region, assist with spendable cash confirmation, and other requests as needed.
- Reconciliation of Account Holdings/Activity -Check portfolio holdings, trading activity, and cash balances while providing oversight with outsource providers, BNY and SS&C
- Corporate Action Processing - Assist the Sydney Manager with oversight and monitoring of corporate actions on Sydney-based accounts. Assist with creating and maintaining the outsource operating model for voluntary and mandatory corporate actions.
- Pre-Trade Compliance - Assist the trading group in validating any pre-trade compliance exceptions in a timely manner.
- Account Set up- Work with internal stakeholders in setting up accounts for new clients, including working with transition managers.
- Internal Inquiries - Assisting with internal inquiries, such as from the Trading, Compliance or Global Client Group.
- Bachelor's Degree in Mathematics, Economics, Finance, or a related field.
- At least 2 years of experience in fund accounting, operations, or investment management.
- Excellent analytical skills with knowledge of financial accounting principles.
- Proficiency in MS Windows & MS Office Suite.
- Familiarity with Charles River CRIMS, Omgeo CTM, and Omgeo Alert.
- Detail-oriented, flexible, and able to work both independently and in a team-oriented environment.
- Demonstrated problem-solving skills and ability to handle confidential information.