Job Description
- Oversee and manage onboarding for new local and offshore client investment accounts.
- Facilitate mandate completion, account documentation, and custodian coordination.
- Ensure compliance with FICA (local) and KYC (offshore) regulatory requirements
- Handle transfer reconciliation and accurate opening balances for portfolios.
- Serve as a key point of contact for high-net-worth clients, ensuring queries and service requests are addressed promptly.
- Disseminate monthly and quarterly financial reports, ensuring data accuracy and timeliness.
- Coordinate ad hoc payments, income withdrawals, and client instructions efficiently.
- Maintain a high standard of communication and professionalism in all client interactions.
- Drive process optimisation and efficiency in portfolio operations.
- Maintain legal and regulatory documentation (deeds, mandates, agreements).
- Monitor liquidity in portfolios to cover fees and cash flow requirements.
- Assist in developing operational procedures and ensuring documentation is up to date.
- Collaborate with internal stakeholders on structural enhancements, and implementation of regulatory changes
- Conduct business process reviews to identify system or procedural inefficiencies.
- Compile and send tax reports and regulatory documentation to clients.
- Review monthly investment statements and verify portfolio returns for accuracy
- Liaise with auditors, compliance teams, and custodians to ensure accurate reporting.
Requirements:
- BCom or related Finance/Investment Management degree
- Minimum 5 years’ experience in investment operations, portfolio administration, or fund operations.
- Experience in a private wealth or asset management firm working with high-net-worth clients.
- Advanced Excel skills and proficiency with portfolio systems (e.g., Bloomberg) beneficial.
- Knowledge of both local and offshore investment structures and platforms.
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