Associate, Genesis, Client Trade Operations
Full-time AssociateJob Overview
You Will:
- Prepare and validate trading documentation for capital commitments, subscriptions, redemptions, switches, and transfer trades in line with client and fund requirements.
- Compile, examine, and review AML/KYC due-diligence packages for submission to underlying fund administrators.
- Process custody trade settlements, including initiating wire instructions and completing verification callbacks.
- Monitor and manage trading deadlines to ensure all trades are executed, confirmed, and reconciled accurately and on time.
- Maintain full ownership of the end-to-end trade workflow, ensuring accuracy, completeness, and regulatory compliance.
- Apply operational controls, follow SOPs, and complete required checklists to meet internal compliance standards.
- Liaise professionally with clients, fund administrators, and internal teams to resolve trade-related queries.
- Analyze, investigate, and independently resolve discrepancies or exceptions raised by external or internal stakeholders.
- Provide timely responses to operational inquiries and maintain thorough documentation and communication records.
- Identify risks, control gaps, and efficiency opportunities to support continuous process and workflow improvement.
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