About Standard Chartered
We are a leading international bank focused on helping people and companies prosper across Asia, Africa and the Middle East.
To us, good performance is about much more than turning a profit. It's about showing how you embody our valued behaviours - do the right thing, better together and never settle - as well as our brand promise, Here for good.
We're committed to promoting equality in the workplace and creating an inclusive and flexible culture - one where everyone can realise their full potential and make a positive contribution to our organisation.
This in turn helps us to provide better support to our broad client base. The Role Responsibilities
Processes CRDM :
To monitor and processes the CRDM activities in securities services for countries which we are supporting as per SLA.
To Monitor and processes of CRDM activities in securities services for countries supporting
To ensure timely and proper update of operating procedures & adherence to the same in processing transactions
To maintain cordial relationship with the customers and to respond to their queries in a timely & accurate manner.
To monitor and process CRDM and reference data in SeCCuRe activities.
To maintain instrument static in Multifonds i.e. create and modify instrument master in Multifonds for all spoke countries
To Globally update Group FX-Rate and Global EX-Rate for all spoke countries
To update Global level market price for all spoke countries
To update Corporate Action announcement for all spoke countries
Fund Services :
To deliver service / reports to Country Stakeholders / clients in accordance with requirement and timeline as agreed in Services Level Memorandum and ensure reporting deadlines are met.
To ensure accurate calculation and posting entries in relation to valuation including management fee, expenses, performance fee etc in accordance with Service Level Memorandum, and as appropriate the Fund Offering Memorandum and related documents such as fund’s SLM.
To ensure accurate capturing of trades / prices / Corporate Actions / FX rates data and relevant accounting entries for the purpose of providing accurate Net Asset Value calculation.
Responsible for the daily maintenance of full accounting and client records of several investment funds books including general ledgers, cash positions, distribution records, investment records and pricing records of investments and support in fund administration related matters, such as recording and processing transactions, obtaining and verification of relevant documentation thereof and ensuring that investments are correctly recorded and priced, and accounted for Purchase and sale of listed or unlisted securities, Corporate Actions, Forward FX deals, OTC deals (Swaps, Options etc) and relevant accounting entries for the purpose of providing accurate Net Asset Value calculation.
Perform detailed review of the reports to CPC / clients including : Verification trades to relevant supporting, Ensure valuation of investments being checked to third party sources, Ensure appropriate accounting for complex investment, Ensure compliance with internal investment restrictions, external regulations and international accounting standards, if applicable.
Identify issues and report to senior / supervisor with suggested solutions.
Responsible for fundamental cash monitoring for the assigned clients, i.e. monitoring cash positions of clients and prepare cash projection reports.
To be responsible for daily activities, cash & trade reconciliation.
Preparing Portfolio Valuations, investment compliance reports or other reporting, as required.
To calculate the Net Asset Value (on a daily, weekly, monthly or other basis as agreed) and deliver service / reports to CPC / clients in accordance with requirement and timeline as agreed in Services Level Memorandum.
To ensure proper and accurate calculation and posting of management fee, expenses, performance fee etc in accordance with Service Level Memorandum, and as appropriate the Fund Offering Memorandum.
Recording and disbursing dividends either by payment or re-investment.
Calculating and disbursing payments of fees to the investment manager / advisor, custodian, administrator and other service providers as required.
To ensure fund administration services fees are settled by the client on timely manner.
Establish in-depth knowledge of the funds’ underlying documentation, investment rules and regulations, KYC, AML, corporate secretary practices, IFRS and US GAAP.
Preparing or assisting in the preparation of, interim and annual financial statements in connection with the fund’s audit.
To ensure all control / operating procedure and documentations are properly followed.
To ensure compliance to all established procedures, regulations and the Group Guidelines.
To keep track of changes (internal and external) affecting Clients and communicate such changes, along with impact analyses, on a pro-active basis, through newsflashes, market insights, operations guides and through other routine communication.
In the event of serious regulatory breaches, or where risk tolerances have been breached, ensure senior management are informed and that actions are taken quickly to remediate and / or activities are ceased.
Regulatory & Business conduct
Display exemplary conduct and live by the Group’s Values and Code of Conduct.
Take personal responsibility for embedding the highest standards of ethics, including regulatory and business conduct, across Standard Chartered Bank.
This includes understanding and ensuring compliance with, in letter and spirit, all applicable laws, regulations, guidelines and the Group Code of Conduct.
To deliver best in class service in accordance with established procedures, regulations & laws to protect client interest and to exceed client expectations.
Effectively and collaboratively identify, escalate, mitigate and resolve risk, conduct and compliance matters.
People and talent
Promote and embed a culture of openness, trust and risk awareness, where ethical, legal, regulatory and policy compliant conduct is the norm.
SSO Management team in Hub, Group and Country.
Embed Here for good and Group’s brand and values in SSO,
Perform other responsibilities assigned under Group, Country, Business or Functional policies and procedures.
Our Ideal Candidate
1 to 3 years of relevant work experience in the following areas :
Excellent oral / written communication skill / good system skills.
Understanding of Pricing Methodology and Security Setup
Hands on experience in handling Pricing systems and usage of Bloomberg / IDC / Reuters Details ge / Good Understanding of MS Excel