Fund Accounting - Team Fund Administration & Middle Office

Adecco

  • Milano
  • 33.700 € all'anno
  • Contratto
  • Full time
  • 14 giorni fa
Adecco Credit & Banking is hiring for a depositary bank
Fund Accounting
for the team Fund Administration & Middle Office Outsourcing
Activity of the role:
as Fund Administrator your responsibilities will be:Responsabilità:- Collaborate with Team Leader organizing the activities to reach team objectives while overseeing Reporting to the Team Leader, he/she will be responsible for the production, review and validation of the different activities managed within FAMOO (portfolio valorisation, trades booking, events management, IOC oversight, Financial and Regulatory reporting, MO Spoke) instrumental for NAV calculation and ancillary activities for all the different products we manage the quality of service.- Manage client relationship in the day-to-day Fund Administration activities- Contribute to new clients' start up activities working along with other Bank's Teams (Client Delivery, Client Line and Client Development) in Italy and other locations (NAV processes, funds set-up, system parameterization and other technical needs).
- In charge of ensuring proper formalization of the activity performed through:Your activities will be- Financial instruments and Fund's static data maintenance oversight;
- Daily set up for funds and following communication to all other depts for starting daily activity
- Registration of shares' subscriptions and redemptions oversight;
- Transactions booking (Securities, FOREX, ETD, OTC, Lending, etc.) and oversight;
- Fees set-up and booking (Fund fees, RTO, FDS etc…);
- Analysis of securities reconciliation breaks, resolution of pending items by interfacing with offices concerned and/or clients;
- Corporate action activities booking and Oversight;
- Redemption, Dividend and coupon booking and Oversight;
- Accrual controls activity and Oversight;
- MO spoke acting for solving trade processing issues with brokers & clients;o MO spoke collaborating with HUB MO for interest claims management;
- NAV Calculation & Control
o Second level control and validation of NAV calculation for each fund, as per procedures & check list, including the critical analysis of NAV variation.
- Client Reporting with NAV diffusion
o Delivering the NAV reporting package, cash flow, compo, NAV per units and any other customised report to be sent to clients and to their asset delegated managers.
o Delivering unit NAV to daily newspaper within the deadlines.
- FA documentation archiving
- Production of Regulatory and Financial reporting to clientsWe offer a fixed term contract for 6 months, CCNL Credito, 3.1 , RAL 33,700 based in MilanDisponibilità oraria: Full TimeCCNL: CreditoLivello contratto: 3.1MoreInformation×QA.Application.SubmittedQA.Thank.ApplyQA.Keep.TrackCondividi questa pagina suI candidati, nel rispetto del D.lgs. 198/2006, D.lgs 215/2003 e D.lgs 216/2003, sono invitati a leggere consultabile sotto il form di richiesta dati della pagina di candidatura (Regolamento UE n. 2016/679).ATTENZIONE: Abbiamo rilevato la presenza in rete di molti annunci falsi; prendi visione dei nostri consigli per riconoscere i tentativi di truffa sulla pagina dedicata al phishing su adecco.it .Adecco Italia S.p.A. (Aut. Min. Prot. N.1100-SG del 26.11.2004).

Adecco