PURPOSE:
Responsible for maintenance of client data to ensure timely creation, purchase, receipting, withdrawal, and reconciliation of clients’ accounts on a daily basis.
PRIMARY RESPONSIBILITIES:
- Purchase, receipt, confirm and reconcile clients’ accounts on a daily basis;
 - Contact customers to verify their purchase requests;
 - Allocate available monies to the respective unit trust funds;
 - Liaise with custodians for resolution of reconciliation issues;
 - Distribute income for the various funds at different periods;
 - End of day process for purposes of generating pricing and circulate to media for publishing;
 - Prepare reports for the regulators for compliance purposes and coordinates the audit conducted by regulators;
 - Review the reconciliations and final client investment reports(statements) before dispatch to client;
 - Analyze, consolidate and present production reports weekly and monthly;
 - Dispatch of client statements;
 - Reviews customer concerns and ensures appropriate action is taken on any escalated issues
 - Participate and attend scheduled trustee meetings;
 - Generate and review letters to customers on account confirmation/details;
 - Maintain and Reconcile Suspense Account in liaison with Reconciliation team;
 - Prepare and dispatch instructions to the custodians and
 - Contact and respond customers to their requests.
 
If you have the aforementioned professional and academic qualifications and you are ready to execute the above mandate, strictly apply through: https://careers.cicinsurancegroup.com/ clearly indicating the position being applied for.
The application should reach us by close of business on 20th May, 2025. Please note only short-listed candidates will be contacted. If you do not hear from us by 30th June, 2025 consider your application unsuccessful.
N/B: This job advert is open to both internal and external candidates.