Provide full range of Client Trading services, including:
Prepare custody documents.
Liaise with administrators, investment managers, clients, vendors, and transfer agents to address daily operational matters.
Collaborate with internal teams (client operations, investor operations, AML/compliance, governance, banking, Fund of Fund Operations, Vendor Management, Swift Operations, Client Integration) to resolve custody queries and meet deliverables.
Participate in system improvement initiatives.
Role and Responsibilities
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 instru...