3 - 8 years
10 - 14 Lacs
Bikaner
Posted:1 month ago|
Platform:
Work from Office
Full Time
Manage Day to day Funds settlements operations which includes Daily Recording of Clients Funds Receipt Entries, Funds Pay-out process, Bank Reconciliations, Exchange account reconciliations, Various other income booking entries, DP Charges, Delayed Payment Charges processing. Margin Management and Movement, Broking Funds Flow & Various regulatory reporting to exchanges. Shall be responsible for controls, compliance, audits, inspections and customer service in the areas of funds settlement section of the company. Ensure SEBI Pay-out process & related dissemination of retention statements to clients on a timely basis. Ensure that customer complaints are resolved within agreed TAT. Experience in working on Class back-office system.
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