Key Responsibilities
Client Onboarding: Handle the complete documentation process for new clients, including KYC, CKYC, and bank mandate registration.
Transaction Processing: Execute purchase, redemption, and switch transactions on platforms like.
SIP Management: Ensure SIPs are registered correctly and track upcoming SIP dates to prevent bounces.
Reporting: Generate portfolio reports, capital gain statements, and valuation reports for clients upon request.
Service & Support: Resolve day-to-day client queries (e.g., change of bank details, nominee updation, transmission) by coordinating with AMCs and R&T agents (CAMS/KFintech).
Data Management: Maintain accurate client data in Excel sheets.