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Location
In office
Seniority
Junior · 1+ year exp
Overview
Company
Impact
Profile match
Euroclear is a global financial market infrastructure (FMI) provider and one of the world's largest International Central Securities Depositories (ICSD). Founded in 1968 and headquartered in Brussels, Belgium, the group specializes in cross-border settlement, safe custody, asset servicing, and collateral management for equities, bonds, derivatives, and investment funds.

Roles & Responsibilities:

  • Liaising with Transfer Agent (TA) or Fund Management companies (FMC) for the contract note, statement, payment and other Trailer Fees & Platform Fees related queries on behalf of the clients of EUROCLEAR FUNDSPLACE.

  • Responsible for transaction commissions processing, reconciliation follow up, payments and reporting for Trailer Fees & Platform Fees.

  • Setup of Trailer Fees & Platform Fees agreement, calculation, reporting, payment, cash investigation using the main in-house system (Rebates Processing Client)

  • To maintain a strong data integrity within internal systems through validation and reconciliation between source data from TA/FMC, counterparts, and business service applications.

  • To provide high-quality service experience, answering enquiries and resolving problems with the TAs or FMCs.

  • Seek operational improvements where possible, to facilitate take-on of additional activities through automation of existing activities.

  • Identify and challenge non-standard/exception-based processes to ensure a thorough risk assessment has been completed with corresponding controls in place prior to implementation

  • Participate in project(s) and conduct User Acceptance Testing (UAT) as required

  • Partner with various internal teams within EUROCLEAR FUNDSPLACE and business stakeholders to develop effective solutions and continually looking for ways to innovate to expand our service capabilities

  • Ensure all the activities are completed and delivered within agreed time frames and to uphold a high-quality standard.

  • Other ad-hoc tasks when assigned.

What You Will Gain:

  • Deep knowledge of investment funds, their structure, documentation, and market specifics.

  • A strong foundation for future roles in product, operations, risk, client services, or market expertise.

  • Exposure to multiple internal teams, allowing you to expand your network and visibility.

  • Opportunities to contribute to process improvements, SOP redesigns, and operational innovation.

  • A supportive team environment where learning, sharing and autonomy are part of the culture.

What we offer:

  • You’ll benefit from a structured onboarding and continuous learning opportunities to grow your expertise in investment funds,

  • You’ll have opportunities to shape processes, not only execute them,

  • Team collaboration across different locations (Paris, Belgium, Singapore & Kuala Lumpur),

  • Supportive leadership.

  • Knowledge-sharing culture.

Requirements:

  • 1 - 3 years of industry experience related to financial services operations with understanding of investment operations and operational excellence.

  • Proficient in English with outstanding written and verbal communication skills. Proficiency in additional languages (French) is preferred.

  • Well-developed organizational and critical thinking skills to resolve complex day to day issues independently.

  • Good interpersonal skills and networking abilities with sub-custodians and both internal/external departments.

  • Detail oriented, excellent accuracy skills and good understanding in mutual fund and hedge fund are strongly recommended.

  • Please note that the working hours are 3.00 pm - 12.00 am or 4.00 pm - 01.00 am Malaysia time.

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