Naukrijobs UK
Register
London Jobs
Manchester Jobs
Liverpool Jobs
Nottingham Jobs
Birmingham Jobs
Cambridge Jobs
Glasgow Jobs
Bristol Jobs
Wales Jobs
Oil & Gas Jobs
Banking Jobs
Construction Jobs
Top Management Jobs
IT - Software Jobs
Medical Healthcare Jobs
Purchase / Logistics Jobs
Sales
Ajax Jobs
Designing Jobs
ASP .NET Jobs
Java Jobs
MySQL Jobs
Sap hr Jobs
Software Testing Jobs
Html Jobs
IT Jobs
Logistics Jobs
Customer Service Jobs
Airport Jobs
Banking Jobs
Driver Jobs
Part Time Jobs
Civil Engineering Jobs
Accountant Jobs
Safety Officer Jobs
Nursing Jobs
Civil Engineering Jobs
Hospitality Jobs
Part Time Jobs
Security Jobs
Finance Jobs
Marketing Jobs
Shipping Jobs
Real Estate Jobs
Telecom Jobs

Corporate Analyst

Job LocationCardiff
EducationNot Mentioned
SalaryCompetitive salary
IndustryNot Mentioned
Functional AreaNot Mentioned
Job TypePermanent , full-time

Job Description

Provide a first-class service in the analysis and calculation of all Unit Trust box decisions to ensure they are managed in line with regulations and in accordance with internal policy. Assist with the preparation of all Management Information for the useof Senior Managers and other internal stakeholders.What you will be doing:

  • Analyse, calculate, consolidate and produce accurate box decisions on UTM fund holdings and assess cash positions to ensure compliance with regulatory and internal box management requirements and in line with the UTM Box Management policy.
  • Responsible for daily Unit Trust box reconciliations and ensuring accurate cash decisions are sent to the Operational Finance team, Northern Trust Trustees and Fund Accountants to ensure cash decisions are settled within the fund settlement cycle.
  • Ensure accurate and timely upload of daily Unit Trust prices to Rufus/EWS in line with internal and external SLAs. Where prices are delivered past SLA demonstrate flexibility to ensure price uploads are completed, even if outside of normal working hours.
  • Assist with the accurate calculation of pricing bases to ensure Unit Trust Single Priced funds do not suffer dilution.
  • Assist the production of Management Information and analytical support to various internal and external stakeholders. Maintain policies and procedure notes ensuring they are up-to date and fit for purpose.
  • Support L&G UTM operational liquidity by identifying any settlement mismatches and where appropriate obtain senior management approval before arranging changes to settlement with Northern Trust Trustees.
  • Support peers, Service Delivery Manager and Fund Services Manager in providing excellent customer service to internal and external clients and stakeholders.
  • Treating Customers Fairly (TCF): Determine pricing bases as directed by the appropriate Unit Trust Main Prospectus.
  • Analyse any impact of pricing errors on customers and the fund, compensating where necessary.
  • Ensure accurate and timely update of systems in line with any project requirements
What we are looking for:
  • Experience within the Financial Service Sector is desirable
  • Desire to achieve CISI Investment Operations Certificate (IOC 1): Introduction to Securities and Investment and CISI Investment Operations Certificate (IOC 3): Collective Investment Scheme Administration
  • Understand and demonstrate an ability to manage UTM boxes and associated market exposure.
  • Demonstrate an awareness of LGIM’s aims, strategic plans and corporate culture.
  • Knowledge of systems used in the day-to-day processing of tasks such as the Fund Services Platform, Rufus, EWS, Business Objects and MS Office suite.
  • Keeping up to date with regulatory changes and consider their impact upon team activities.
  • A working knowledge of role objectives, priorities and constraints.
  • Up to date knowledge of CASS, GDPR, COLL and MiFiD regulations.

APPLY NOW

Corporate Analyst Related Jobs

© 2019 Naukrijobs All Rights Reserved