Job Profile Summary: Working within the Allocations, Reconciliations & Calculations Team within Global Sales Operations, supporting the team in Switzerland to complete their tasks in an accurate and timely fashion, providing excellent client service and reducing risk to the business.
Responsibilities:
Execute Allocations
Review trades to set the correct allocation of entities at various levels
Set and review allocation rules to allow auto-allocation of trades
Liaise internally with Sales and Operations to request information on trades
Reconciliations
Review system holdings against client statements to ensure they match
Investigate and resolve discrepancies
Reallocations of trades as required
Preparation of Client Payments
Upon completion of reconciliation, review generated payments to ensure these are accurate
Release payment to Finance team for onward payment to clients
Respond to queries and returned payment tickets as appropriate
Knowledge of Calculation Engine
Review of system set-ups to ensure accurate products and rates as per client agreement
Run and prepare reporting for internal & external purposes
Review accruals to ensure accuracy
Testing of system developments as required
Key Skills & Experience:
Degree educated preferably with some relevant Industry qualifications
Preferably with an asset management background
Understanding and experience with allocations, reconciliations and general client services would be beneficial
Excellent written and verbal communication skills
Effective time management and organisational skills