systems
systems Liaise with Management Companies and Custodians to facilitate the opening of client accounts
Data collating from various local and offshore custodians, contributions, withdrawals, coordinating payment various business contacts, including banks and custodians. Maintain filing database including daily filing
Data collating from various local and offshore custodians, contributions, withdrawals, coordinating payment various business contacts, including banks and custodians. Maintain filing database including daily filing
maintenance of client information. Instructing custodians to set up cash, scrip, YIELDX, and call accounts fee collection. Maintaining relationships with custodians and trustees. Managing relationships with Curo Serving as a liaison between internal teams, custodians, clients, and external service providers. Assisting
maintenance of client information.
the budget
Managing product BOMs as the custodian
Monitor price movement and compiling reports
with the internal team/service providers: Banks, Custodians and Trustees Fund Administrators Brokers (bonds
with the internal team/service providers: Banks, Custodians and Trustees Fund Administrators Brokers (bonds
per the budget Managing product BOM's as the custodian Monitor price movement and compiling reports Why