1. Collateral addition
- Screen and check collaterals offered and verify instruments thoroughly so as to ensure compliance with SEBI/CC norms.
- Carry out requisite process / operations for addition of collaterals
2. Collateral release
- Handling over of instruments
3. Controls
- Handling of instruments
- Managing vaults, handling audit, MIS - weekly, monthly etc.
- Physical verification of instruments
4. Interface with banks/Custodians/Members
- Verify bank guarantees and other collaterals offered by members for their validity in line with checklists.
- To obtain rectification, modification or amendment of instruments issued by banks on behalf of CC.
- Resolving Member, Banks, Custodian and Regulatory Queries in time bound manner
Require a B.Tech/BE with finance background (MBA)
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