Equity and Fixed Income. (On contract)
Responsibilities included:
Trade and transition support, cash management, reconciliations, SWIFT
support for all external mandates governed Investment Departments.
Monitoring and verifying processed trades (Equities, Bonds, Repos, OTCs,
Futures, Options, Collaterals, etc.).
Processing straight forward trades, trade matching and reconciliations,
external fund transfers and handling transitions,
SWIFT MTs creation and RMA setup.
Investigating exceptions and mismatches with custodians / FCMs / OTC
counterparties.
Ensuring that all trades externally settled by custodians / FCMs / OTC
counterparties and internally booked on the internal systems in an accurate
and timely manner.
Assist in setting up and maintenance of secure communication. Establish
review process to enhance service delivery
Ensure effective coordination in maintaining an operational risk
management framework across the division and ensuring compliance with
all due diligence to mitigate operational and third party risks
2
Suggest system enhancements and process changes and ensure preparation
of process flow maps, system enhancement change requests, arrange
necessary UAT for routine upgrades and STP initiatives
Assist in updating static database of all external mandates and custodians /
FCMs / OTC counterparties to reflect an up-to-date management
information
Assist in establishing a periodic review of counterparties reporting
mechanism and evaluate to enhance STP
Support and maintain the framework, policies, tools and processes for
operations risk management across the division in line with departments
objectives
Co-ordinate payment of fund fees and expenses
Operations support to equity, fixed income and treasury products
Trade & Transitions Support:
Ensure transactions for all transaction types within the Fixed Income &
Treasury, Equities & Alternative Investments external mandates (Equities,
Bonds, Repos, OTCs, Futures, Options, Collaterals) are received and
processed in appropriate systems on a timely manner
Ensure market price data is received from the independent market source
and updated in the relevant systems
Monitor daily activity statement from FCMs and OTC counterparties, verify
for completeness, and availability.
Report any highlighted unauthorized trade per trading agreement by
external mandates to Ops. Risk / Compliance.
Investigate and follow up trade capture related issues (e.g., late or
inaccurate processing, creation of new contracts / securities /
counterparties / SSIs ) by liaising with internal and external counterparties
to ensure smooth execution
Assist in necessary setup for new mandates are in place (by reference data
management) before the commencement of trading activity by the new
external mandate.
Prepare instructions & arrange transfer lists to custodians / FCMs via SWIFT
/ secure communication protocols to effect inter-fund transitions, cash
movements and advise any standing instructions based on requests from
Investment Departments.
Process securities transfers between existing mandates or to / from
transition accounts within the same custodian or across various custodians
on the advice of Investment Departments / Transition Management Team
and ensure that these are booked in an accurate and timely manner.
Cash Management:
Review margin call request from FCMs and prepare funds movements.
Assist in execution of daily margin settlement instructions to custodian.
Ensure fund movement to the hedge funds administrators.
Monitor cash flow, arrange funds for security settlement and margin calls.
Forecast daily cash requirements and execute daily financing decisions.
Cash liquidity management.
Reconciliation:
Ensure all reconciliation breaks are handled in a timely manner. Assist in the
position balances with FCM statements for each CTA
3
Ensure the generation of Commodity Reports for MIS
Creation and implementation of daily MIS report to min
SWIFT Support:
- مجال الشركة:
- الإدارة العامة
- الدور الوظيفي:
-
المحاسبة والتدقيق