Administrator - Transfer Agency - Investor Services - Fund & Coporate Services

at  JTC Group

London, England, United Kingdom -

Start DateExpiry DateSalaryPosted OnExperienceSkillsTelecommuteSponsor Visa
Immediate08 Nov, 2024Not Specified10 Aug, 20241 year(s) or aboveFlexible ApproachNoNo
Add to Wishlist Apply All Jobs
Required Visa Status:
CitizenGC
US CitizenStudent Visa
H1BCPT
OPTH4 Spouse of H1B
GC Green Card
Employment Type:
Full TimePart Time
PermanentIndependent - 1099
Contract – W2C2H Independent
C2H W2Contract – Corp 2 Corp
Contract to Hire – Corp 2 Corp

Description:

ESSENTIAL REQUIREMENTS

  • At least 1 year of funds industry experience directly working in fund operations/administration.
  • IOC Qualified or working towards this qualification, or equivalent (Desirable).
  • Ability to review and resolve complex issues working under challenging deadlines.
  • Customer Service experience.
  • Excellent planning and organisation skills with a flexible approach to work.
  • Ability to work on own initiative.
  • Effective verbal reasoning and numeric skills.
  • Good keyboard skills to include MS Excel and ability to learn systems used within the business (Essential).

Responsibilities:

PURPOSE OF JOB

As the Administrator, you will be responsible for the accurate maintenance of Shareholder Registers for open ended funds administered by JTC. You will be involved in unit dealing, responding to all client queries and requests and ensuring quality control, adherence to policies, procedures and SLAs and outperformance of operational deadlines and client service delivery.

MAIN RESPONSIBILITIES AND DUTIES

  • Respond to all investor/client queries and requests received via telephone, post, fax or email effectively and accurately while delivering exceptional client service.
  • Timely and accurate capturing, execution and settlement of all investor subscription, redemption, stock transfer, conversion and switch transactions and any other fund activities as they arise.
  • Ensure the accurate control, input and monitoring of all client dealing instructions in line with operational procedures.
  • On-board new funds and other fund activity events as the need arises – fund/ share class launches and closures, mergers, conversion activity etc.
  • Record Investor tax classification information.
  • Ensure the take-on and establishment of new accounts occurs in a timely manner and that they are completed within the prescribed AML, KYC and CDD procedures.
  • Ensure that the database and underlying KYC and core static data is accurate and up to date in line with departmental procedures.
  • Process and quality check Investors Transfer instructions within agreed turnaround times and retain records of outstanding or missing transfer information.
  • Instruct the share dealing related cash movements to the relevant custodians.
  • Timely dispatch of contract notes within regulatory requirements ensuring all requirements are fulfilled.
  • Support of bulk mail and operational projects.
  • Produce and administer payment processes.
  • Understand the system and drive efficiencies and risk-reduction initiatives within the system and processes.
  • Train new team members as required.
  • Ensure that all JTC policies and procedures are adhered to and guarantee efficient and prompt query resolution.
  • Actively participate in team initiatives such as procedure documentation and system testing.
  • Escalate all breaches and complaints immediately upon discovery.
  • Adhere to all JTC Risk & Associate Compliance procedures in relation to regulatory requirements and AML legislation.
  • Adhere to JTC core values and expected behaviours.
  • Any other duties as deemed necessary by Management.


REQUIREMENT SUMMARY

Min:1.0Max:6.0 year(s)

Financial Services

Accounts / Finance / Tax / CS / Audit

Finance

Graduate

Proficient

1

London, United Kingdom