. Timely accurately manage the cash flow process
2. Timely and accurately handle trade management, valuation of all asset classes and reconciliation
3. Ensuring trade, allocations, reporting and settlements with compliance requirements
4. Trade reporting on FIMMDA platform within TAT
5. Holdings reconciliation of all trades settlements others
6. Timely reporting trades to FA and Custody
7. Trade settlement Equity, Debt, Money market etc
8. Liaison with Dealer and Fund Manager for any query related to cash flow complete process of trade settlement
9. Administering daily cash flows for fund house and reporting real time cash positions to Fund managers. Calculation of scheme shortages and borrowing limits.
10. Expense payment and management
11. Preparing daily incremental final cash flow reports ensure banking activity is managed timely and accurately
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