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To carry out accurate accounting, settlement and valuation of equity securities across the portfolios. Preparation of MIS accurately and within timelines. Timely coordination with auditors, other departments such as Accounts & MIS, Taxation, Actuarial etc for seamless completion of audit and periodic accurate financial reporting.
Job Context: To carry out accurate accounting, settlement and valuation of equity securities across the portfolios. Preparation of MIS accurately and within timelines. Timely coordination with auditors, other departments such as Accounts & MIS, Taxation, Actuarial etc for seamless completion of audit and periodic accurate financial reporting.
Job Challenges: . Multiple system interface understanding required to carry out day's activity.
. Accuracy & promptness for Settlement, Accounting & valuation need to be ensured considering the system and asset complexities.
. Timely submissions of reports for substantiating data across various audits
| KRA (Accountabilities) (Max 1325 Characters) | Supporting Actions (Max 1325 Characters) | |
|---|---|---|
| KRA1 | Carry out timely and accurate Equity Settlement for accounting | 1. Equity Settlement on STP including custody and broker confirmation 2. Co-ordination with Equity Brokers and Dealers and Custody for trade settlement 3. Calculation of Margin payable 4. Provision of equity related cash flows in the cash flow projections |
| KRA2 | Support the Accounting and Valuation of Equity Portfolio across funds for NAV release | 1. Creation of Equity and Broker Master 2. Timely and accurate accounting of Equity Trades 3. MTM valuation of Equity Portfolio across fund groups 4. Tracking and accounting of Corporate Action |
| KRA3 | Undertake Daily checking of Debt Valuation and Accounting for ensuring accuracy of NAV's released | 1. Checking of Debt Valuation across all funds 2. Checking of Debt Accounting across all funds |
| KRA4 | Preparation of MIS for Management review, financial reporting and Audit Data | 1. Preparation of Financial Reports as per IRDA, Schedule VI & IFRS. 2. Preparation of daily, monthly, yearly MIS 3. Preparation of To-be-Revived Policies reconciliation 4. Adhoc investment MIS as and when required by IRDA, Actuary, Front-Office, Taxation, Planning and Management. 5. Co-ordination with statutory, Internal & Concurrent auditors 6. Timely and accurate vendor payment |
| KRA5 | Project support | 1. Facilitating in testing and implementation. |
Job ID: 146187619