Senior Executive, Investment Support at NTUC INCOME INSURANCE COOPERATIVE LIMITED
Singapore, , Singapore -
Full Time


Start Date

Immediate

Expiry Date

04 Jun, 26

Salary

0.0

Posted On

06 Mar, 26

Experience

2 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Investment Operations, Fund Accounting, ILP Structures, KYC Support, Collateral Management, Trade Processing, Subscription, Redemptions, Fee Payments, Reconciliations, Risk Management, Regulatory Changes, Cash Management, Portfolio Management, Operational Support, MAS Outsourcing Monitoring

Industry

Insurance

Description
Responsibilities: * Perform oversight on operational tasks on account opening, KYC support, collateral management, cash and fund trade processing, investment linked funds related tasks including processing subscription and redemptions flows and fee payments. These tasks include oversight and verification of those which are outsourced to the transfer agent. * Perform relevant reconciliations, controls and procedures to ensure accuracy and timely completion of reporting and operational tasks. * Investigate and engage with relevant internal and external parties (such as custodian, fund managers and transfer agent) to follow up on queries and address queries and issues. * Liaise and coordinate with internal and external parties on account related setup and documentation which include SOPs, workflows/processes, KYC and agreements. * Drives, project manage initiatives involving with investment portfolios, controls, risk management, statutory and regulatory changes impacting BAU processes. * Provide operational support for private investment funds which include cash management (capital call/distribution), fund administration, monitoring and reporting. Also supporting the investment team on portfolio management matters and ensure that daily operational matters are managed well. * Perform oversight on key external parties to ensure smooth day-to-day delivery of BAU work. * MAS Outsourcing monitoring and reporting. Key Requirements * 3-5 years’ experience in ILP, investment operations or fund accounting * Strong understanding of ILP structures, pricing and operational workflows * Experience working with distributors / platforms / custodians * Detail-oriented with strong control and risk awareness * Comfortable operating in a changing and high-scrutiny environment * Hands-on, resilient, and comfortable managing ambiguity

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Responsibilities
The role involves overseeing operational tasks related to account opening, KYC, collateral management, trade processing, and investment-linked fund flows, including subscription, redemption, and fee payments, often involving outsourced transfer agent verification. Responsibilities also include performing reconciliations, addressing queries with internal/external parties, and driving projects related to investment portfolios and regulatory changes.
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