Fund Operator and Registrar

WHY CHOOSE TO WORK WITH US

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PhillipCapital Group manages and maintains a total of $35 billion in assets worldwide. which has offices spread in 17 countries, serving more than 1 million customers.
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Opportunity to create new investment products in Thailand by collaborating with colleagues and partners around the world.
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Opportunity to learn and grow in fund management.
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Opportunity to travel to attend meetings and seminars abroad.

THE REQUIREMENTS

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Graduated with a bachelor's degree in accounting, business administration and other related fields.

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Experience working in investment management business Fund Operations

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Knowledge and understanding of accounting principles and accounting standards

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With careful attention to detail honesty operational responsibility Able to fix specific problems and learn quickly

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Skilled and able to use computers well

JOB SCOPE

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Responsible for recording registration information of unitholders

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Check the record of sale, redemption, switch or transfer of investment units. as well as verifying the correctness and completeness of the documents

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Allocate investment units of every fund and send information after the allocation to sales agents and unitholders

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Store documents for opening accounts, selling orders, redemption, switching or transferring investment units. and follow up with incomplete documents from the marketing staff

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Check the report of the amendment of the unit holder registration information.

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Check the agent's fee reports, send them to various accounting and budget agencies.

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Verify the accuracy of fund information to send to outsource. Print quarterly Statement of Holding and check RMF & LTF information to print annual purchase certificate.

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take care of mutual funds that invests in the country and abroad Prepare and record accounting transactions Documents for expenses about the fund

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Record/review purchase, sale, or any other transactions related to investment

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Calculate net asset value and the value of the investment units of the fund

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