
Fund Servicing Associate I
- Metro Manila
- Permanent
- Full-time
- Perform complete cycle of NAV reconciliation on a daily, weekly, and monthly basis using JPM applications.
- Investigate substantial NAV breaks and ensure timely resolution of discrepancies.
- Ensure accuracy of JPM Fund Accounting and Custody Data through quality management.
- Maintain security static data for correct asset IDs and update when necessary.
- Provide expense accruals to IFAS if required by client or KVG/Fondsleitung.
- Coordinate information flow regarding additional valuations with CMO, KVGs/Fondsleitung, and IFAS.
- Support IFAS and GDS for OTC derivatives.
- Manage inquiries effectively.
- Chartered Accountant/MBA/Bachelor's degree in Finance, Accounting, or Economics.
- Minimum of 3 years of pension funds industry experience with at least three years in fund accounting.
- Knowledge in fund accounting, account reconciliation processes, industry developments, and trends.
- Securities industry knowledge including dividends, principal & interest, corporate actions, and trading activity.
- Strong oral and written communication and presentation skills.
- Strong relationship management and partnership skills.
- Leadership with proven ability to manage by influence to promote change.
- Proactive in identifying and escalating issues.
- Builds effective teams committed to organizational goals; fosters collaboration among team members.
- Manages disagreements collaboratively, striving for win/win solutions.