Job Description

Key responsibilities include:
  • Collation of all necessary documentation relating to administration of local and offshore investment instructions, including redemptions and switches, and share dealing. Ensure necessary authority obtained, preparation and capturing of same on internal systems (Fundamental, and PTC/ CRM system)
  • Daily/ monthly EFT payments to and on behalf of clients, including all verifications preparation and capturing of same on internal systems (Cashman/ CRM system)
  • Review debit balances and assist Trust Officer to take corrective action
  • Onboarding of new clients, and responsible for all clients take on documentation, and loading on internal systems
  • Quarterly invoices for adhoc fees
  • Preparation of trust administration requirements, and all payments relating thereto.
  • Client liaison: timeous response to, and resolution of all queries.
  • Accountable for electronic and hard copy filing relat...

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