.Trade Processing - Buy/Sell tickets (record the transactions in the system), Security Master File recon, reconciliation (trade, positions, cash etc.) trade posting, Liaison with broker and bank for confirmation, allocation and settlements, identify...
...contact for the India transaction team of analysts.
• Reporting into London Managing Directors and Transaction Team lead.
• Coaching, mentoring and training the Indian transaction team members.
• Acting as a r...
...middle office and back office.
. Working experience of trade processing and settlements, reporting, investment pricing, additional/miscellaneous income.
. Liaison with internal and external stakeholders to e...
...equity consortium firm that provides software development and IT consulting services to Fortune 500 clients across the US. OpelSoft... .... Some work from home is acceptable. The Bench Sales ...
...financial metrics.
Strong knowledge of the fundamentals of corporate finance and
valuation techniques.
Understanding of the concept of... ...,Enterprise Value, Net Debt,due diligence...
Position Overview : The AGM-Legal will serve as the main legal officer of the organization, responsible for overseeing all legal matters and providing strategic legal advice to senior management. This role involves managing the legal department, ensu...
.Trade Processing - Buy/Sell tickets (record the transactions in the system), Security Master File recon, reconciliation (trade, positions, cash etc.) trade posting, Liaison with broker and bank for confirmation, allocation and settlements, identify...
.... - Build strong relationships with investors, understand their financial goals and risk appetite, and provide tailored investment solutions... ...track record of successful sales experience ...
...Accounting Services
Indus Valley Partners (IVP) is a leading design & technology solutions and services provider to Alternative Asset Managers around the world.
Fund accounting team is currently looking for he...
.Trade Processing - Buy/Sell tickets (record the transactions in the system), Security Master File recon, reconciliation (trade, positions, cash etc.) trade posting, Liaison with broker and bank for confirmation, allocation and settlements, identify...