Fund Servicing Analyst at JPMC Candidate Experience page
Manila, National Capital District, Philippines -
Full Time


Start Date

Immediate

Expiry Date

06 Apr, 26

Salary

0.0

Posted On

06 Jan, 26

Experience

0 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Fund Accounting, Reconciliation Processes, Securities Industry Practices, Dividends, Interest, Corporate Actions, Trading, Operational Efficiencies, Client Service, Net Asset Value, Production Workflow, Issue Identification, Escalation, Ad-hoc Projects, Accuracy, Timeliness

Industry

Financial Services

Description
If you’re passionate, curious and ready to make an impact, we’re looking for you to help us grow our businesses for the future. As a Fund Servicing Analyst within the Securities Services Operations team, you will be responsible for ensuring high quality Net Asset Value delivery. In this role you will partner with other lines of business and offshore partners providing oversight and support of daily production, with an overall focus on accurate and timely delivery of daily Net Asset Values. You will work closely with global business partners and must be diligent, inquisitive and logistical when approaching daily oversight of the Net Asset Value production workflow. Job Responsibilities: Produce accurate and timely Net Asset Values and assist management and global business partners with relevant inquiries Ensure global business partners meet agreed upon processing deadlines Partner with Client Service to resolve client inquiries as needed Follow all established procedures and controls towards goal of 100% accuracy and timeliness Assist on ad-hoc projects as needed Identify operational efficiencies and areas for improvement to reduce risk and become more efficient Develop a thorough knowledge of your client and the overall daily NAV production workflow Required qualifications, capabilities and skills: Strong knowledge of fund accounting, reconciliation processes, and industry trends. Familiarity with securities industry practices, including dividends, interest, corporate actions, and trading. Proactive approach to identifying and escalating issues. Preferred qualifications, capabilities and skills: A minimum of one-year experience in fund accounting is preferred; however, candidates that have relevant coursework and internships will be considered as well
Responsibilities
The Fund Servicing Analyst will produce accurate and timely Net Asset Values while partnering with global business partners to ensure processing deadlines are met. The role involves oversight of daily production and addressing client inquiries as needed.
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