The purpose of this position is to carry out routine day-to-day processes that support the fund operations for a Private Equity fund services team under the direction of a Financial Reporting Manager / Client Relationship Manager.
Key responsibilities:
Inputting payments on various online banking platforms
Inputting foreign exchange transactions on various banking platforms
Completion of verbal call-backs to verify wire details
Liaising with clients on any payment queries and confirming completion of process
The candidate will have computer literacy skills and some technical financial services knowledge.
More information about the role is available upon request contact the team today for further details.