CUSTODY SERVICES ASSOCIATE
CUSTODY SERVICES ASSOCIATE
bank of the philippine islands (bpi)Fresher
- Posted 22 days ago
- Be among the first 10 applicants
Job Description
Job Description
The Custody Services Associate is responsible for providing operational support to the day-to-day custody business transactions and relevant activities, and acting as point of contact for Institutional clients and Account Officers for any custody business related transactions
Responsibilities
The Custody Services Associate is responsible for providing operational support to the day-to-day custody business transactions and relevant activities, and acting as point of contact for Institutional clients and Account Officers for any custody business related transactions
Responsibilities
- Assist in the timely and accurate settlement of securities and cash transactions, including lodgment, upliftment, and safekeeping of client assets.
- Support the reconciliation and recording of securities and cash holdings across registries, depositories, custodians, and settlement accounts.
- Assist in monitoring corporate action events, notifying clients, processing instructions, coordinating with external parties, and facilitating related settlements.
- Facilitate fund orders and settlements, assist with tax documentation and reclaim services, and support client inquiries and requirements.
- Assist in the preparation and delivery of client reports, certifications, and statements, while performing other operational duties assigned by Senior Management.
- Bachelor's Degree in any field, preferably business-related or finance
- Keen on details, effective communication skills, proficient in both oral and written communication
- Good communication skills and interpersonal skills
- High level of initiative and innovation
- Computer literate, team-based, and result-based orientation, people management, organizational, and analytical process-based skills
- Willing to be assigned in Makati City
More Info
Key Skills
monitoring corporate action events
preparation and delivery of client reports
reconciliation and recording of securities and cash holdings
tax documentation and reclaim services
settlement of securities and cash transactions
