Execute any deal tickets accurately and in a timely manner, ensuring proper documentation and system booking.
Coordinate with Nawy’s treasury to ensure smooth settlement of transactions, cash movements, and reconciliation of positions.
Act as the Receiving Entity Manager for the fund, handling investor subscriptions, redemptions, and related documentation in compliance with regulatory requirements.
Maintain and monitor cash positions, ensuring sufficient liquidity for fund operations.
Assist in the weekly, and monthly reconciliations between internal records, custodians, and banks.
Ensure all transactions and processes are compliant with internal policies and regulatory frameworks (FRA guidelines).
Maintain accurate records of all investor transactions, ensuring proper audit trails and documentation.
Support reporting requirements, including preparing operational and regulatory ...
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