Experience
Company Type
Responsibilities
Workhours

Ops Manager - FVS (M/W) -

Job Type

Permanent contract

Organization

SG GSC

Primary Location

India-Tamil Nadu-Chennai

Societe Generale Global Solution Centre (SG GSC), a 100% owned subsidiary of European banking major Societe Generale (SG), Our role and purpose is to enable the strategic vision of Societe Generale Group. We are doing this by pioneering cutting edge innovation from Design Thinking to Smart Automation & Artificial Intelligence, and applying it to banking.

SG Global Solution Centre provides services in the areas of Application Development and Maintenance, Infrastructure Management, Business Process Management, and Knowledge Process Management, to Societe Generale's business lines around the world.

“We are committed to creating a diverse environment and are proud to be an equal opportunity employer. All qualified applicants receive consideration for employment without regard to race, color, religion, gender, gender identity or expression, sexual orientation, national origin, genetics, disability, age, or veteran status

Missions

Interpret shareholder system reporting of each days transactions for a significant number of fund families and currencies.
- Report the share movement and money flow to the relevant fund accountants and custodians.
- Cash projection; prediction and verification of payments due to each fund for subscriptions and due from each fund for redemptions, in relevant currencies and on correct settlement dates. 
- Instruct movement of funds by fax or on-line communication to appropriate destination 
- Daily reconciliation of all bank accounts
- Research and query resolution in relation to outstanding reconciliation items, liaising with other departments and external parties.
- Report on reconciliation items, providing detailed analysis of outstanding items.
- Execute of foreign exchange transactions.
- Monitor and reporting of bank fees and interest charges, verifying and processing claims.
- Reconcile dealer accounts and balancing of monthly commission payments
- Quarterly trailer fee reconciliation" 

Profile

PROFILE

a)    Basic Criteria

- Bachelors degree in Commerce or Business

- Basic Knowledge of MS Office tools

- Knowledge of market analysis tools like Bloomberg

- Experience in Investment Banking / capital markets domain is mandatory

- At least 8 years of experience in Net Asset Value(NAV) reconciliation for Mutual Funds / Hedge funds.

- People management for at least 4 years is a mandate

- Ideal span of control should not be less than 12 FTEs

- Should have hands on experience in proposing and delivering new projects / initiatives relating Fund administration related activities

 

b)    Additional qualifications

 

- Masters degree in Financial management / Commerce etc.

 

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Confirmed 22 hours ago. Posted 29 days ago.

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