To place deals as per the investor’s instructions for All Money-In (Sale/Investments) and Money-Out (Repurchase)
Transfer of investments from one product to another product, switches and conversion transactions from income to growth to ensure that all transactions are placed within the valuation point that is applicable to various management companies includes setting up client account.
To handle all registration and transfer activities which include database administration in respect of client and agent.
Settling the deals placed and setting up payment mandates including setting up deals for regular savings and amendments thereof.
Processing the undelivered correspondences and appointment of agents involves carrying out money laundering checks and updating the client’s status accordingly.
Manage workflow with timely escalations. Regularly achieving the productivity and quality standards in the activity specifically assigned.