Responsibilities: Monitor trade flow, reconciliate on bank / funds / custody positions and verify trade details, ensuring accuracy and adherence to regulatory guidelines and internal policies. Confirm trade execution with brokers or counterparties and resolve any discrepancies or issues that arise. Review accounting entries and fee schedules for mandates and funds. Review the valuation reports and ensure that all transactions and pricing are reasonably prepared by the Fund administrator or Trust
Bank Of China (Hong Kong) Limited - Hong Kong - Full time
Salary: Competitive