To process and fulfil all withdrawal requests submitted by clients across the various funds managed by Stanbic IBTC Asset management. Liaise directly with the Head Payments units for process improvement people management/growth and fostering cordial relationship with all stakeholders. To contribute to the process of improving automating digitising and/or eliminating reconciliations ensuring world class operations with our partners to conduct signature verification activities and address any signature-related issues. Carry out clients inter-fund and intra-fund switch requests efficiently and Keep proper records and tracking of outstanding redemptions
Qualifications :
- Minimum of BSc degree in Economics; Accounting Finance; Actuarial Science Statistics Banking & Finance or any related field
- 5-7 years of experience in Financial Reporting; Audit; Advanced and Basic Microsoft office skills
- Any professional qualification may be an added advantage
Additional Information :
Behavioural Competencies:
- Developing Expertise
- Documenting Facts
- Embracing Change
- Examining Information
- Interacting with People
- Interpreting Data
- Making Decisions
- Managing Tasks
- Producing Output
- Resolving Conflict
- Thinking Positively
- Upholding Standards
Technical Competencies:
- Client Relationship Management
- Collaboration
- Continuous Improvement
- Financial Acumen
- Operations Risk Management
- Reconciling Financial Records
Remote Work :
No
Employment Type :
Full-time
To process and fulfil all withdrawal requests submitted by clients across the various funds managed by Stanbic IBTC Asset management. Liaise directly with the Head Payments units for process improvement people management/growth and fostering cordial relationship with all stakeholders. To contribute...
To process and fulfil all withdrawal requests submitted by clients across the various funds managed by Stanbic IBTC Asset management. Liaise directly with the Head Payments units for process improvement people management/growth and fostering cordial relationship with all stakeholders. To contribute to the process of improving automating digitising and/or eliminating reconciliations ensuring world class operations with our partners to conduct signature verification activities and address any signature-related issues. Carry out clients inter-fund and intra-fund switch requests efficiently and Keep proper records and tracking of outstanding redemptions
Qualifications :
- Minimum of BSc degree in Economics; Accounting Finance; Actuarial Science Statistics Banking & Finance or any related field
- 5-7 years of experience in Financial Reporting; Audit; Advanced and Basic Microsoft office skills
- Any professional qualification may be an added advantage
Additional Information :
Behavioural Competencies:
- Developing Expertise
- Documenting Facts
- Embracing Change
- Examining Information
- Interacting with People
- Interpreting Data
- Making Decisions
- Managing Tasks
- Producing Output
- Resolving Conflict
- Thinking Positively
- Upholding Standards
Technical Competencies:
- Client Relationship Management
- Collaboration
- Continuous Improvement
- Financial Acumen
- Operations Risk Management
- Reconciling Financial Records
Remote Work :
No
Employment Type :
Full-time
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