
Delivery Lead - Transfer Agency Integration
- Pune, Maharashtra
- Permanent
- Full-time
- Working on investor setup of new business launches/conversions and project management.
- Should be able to perform quality reviews for all entity types. i.e Corporates, foundation/ Charities, institutional Investors, designated bodies etc, based on the Anti-Money Laundering (AML) policies and guidelines
- Work extensively with various teams across global locations to fulfil an entity’s KYC requirements as mandated by compliance and regulatory standards.
- Discuss recently released guidance or changes in common approach during team meetings.
- Should be well versed with any or all AML guidance for Cayman, Delaware, Australia, Ireland, Bermuda etc.
- Should have working knowledge of any or all of screening tools viz. World Check, Pythagoras, Lexus-Nexus etc.
- Tax form validation for CRS and FATCA operations covering FATCA CRS reporting. Should have working knowledge of FATCA/CRS reporting. He/She should be able to review US tax forms i.e., W9, W8-BEN, W8-IMY, Withholding statements etc.
- Strong domain knowledge is essential & understanding of Transfer Agency business
- Onboard investor/migrate data onto Apex accounting platforms by
- Reviewing fund legal documents and investor documents for new and existing clients.
- Setting up/reviewing investor account in system along with AML&KYC status and FATCA/CRS classification and bank details
- Understanding of end-to-end hedge fund investor life cycle
- Preparing datasets, setting up of Contract note and NAV Statement template in system
- Performing reconciliations and handling investor queries.
- Facilitating discussions to resolve reconciling differences, if any.
- Preparing/reviewing the contract note and releasing it to investors.
- Providing the support/documents related to the setup and migration of funds as part of audit requirements.
- Support operations on projects related to automations/ migrations/ conversions/ process improvements, etc.
- Support global changes in Key operating procedures and implementation.
- Coordinating with Internal/External Stake holders such as Fund Accounting team, Compliance, Auditors, Client Service Managers and Clients.
- Effectively monitoring deliverables to ensure SLA compliance within set accuracy standards.
- Create and maintain an action item list and a standard project plan for migration projects.
- Develop and maintain project timelines and deliverables.
- Manage external as well as internal expectations regarding deliverables, with regular client and internal meetings as required.
- Participate in and / or lead new service initiatives and projects.
- Ensure proper documentation as part of Set-up and migration is maintained and archived.
- Provide regular updates to senior management and escalate issues proactively.
- Experience working with an investment management or finance-related firm.
- Good knowledge of the investment industry with 10+ Years in Hedge Fund administration or related industry with end – to – end experience.
- B.com/MBA – Finance or any bachelor’s degree
- A good understanding of effective risk management & its execution
- Exposure to accounting platforms – Paxus/Geneva/Investone/Nexus is an advantage.
- Experience with onboarding process, demonstrated attention to detail and accuracy, analytical, technical, organizational, and critical thinking skills.
- An ability to think critically and objectively, challenge assumptions.
- Proficiency in advanced Excel functions.
- Excellent communication and inter-personal skills.
- Work additional hours as needed.
- Capacity to work as an individual contributor.
- Self-dependent
- A genuinely unique opportunity to be part of a niche team.
- Exposure to all aspects of the fund admin business, cross-jurisdiction and direct access to global stakeholders.
- Market competitive remuneration and benefits.