• Responsible for receiving, reviewing andprocessing the client instructions into the Fund Accounting system
• Responsible for following up with clients onincomplete instructions
• Responsible for dispatching the clientinstructions to the Fund compliance unit for approval and following up untilcompletion
• Responsible for managing and storing thesupporting documents in an organized timely manner
• Responsible for assisting senior staff inperforming tasks relating to Cash reporting, NAV calculations and clientservicing