Process daily Central Provident Fund Investment Scheme (CPFIS) and Supplementary Retirement (SRS) trades timely and accurately.
Processing refund of monies to CPF Board.
Prepare letters/correspondences to Law firm for estate accounts.
Review trade exceptions.
Liaise with Product Providers on trade matters.
Ensure prompt processing of Corporate Action events such as Rights, Tender Offer, Warrant Conversion and others.
Process update of account transfer between the Agent Banks.
Ability to multi-task.
Good team player.
Possess good interpersonal skills.
Proficient in Microsoft office especially in Excel and Word.