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NOC code for Fund accountant role at RBC?

Oct 6, 2021
3
0
Hello Can you please tell me which NOC code exactly matches the below job responsibilities?
  • Calculates daily, weekly, and monthly net asset value (NAV) for appropriate funds
  • • Prepares monthly cash flow investment activity reports and year-end balances for cash, bonds, equities, and other invested assets
  • • Reviews bank statements/cash flows; recording bond amortization and interest accrual adjustments, corporate debt accruals and investment expense accruals
  • • Monitors and reports on compliance with investment guidelines and statutory regulations.
  • • Liaises with investment managers, prime brokers and custodians in relation to trading activity as required for transaction processing and NAV preparation
  • • Maintains the Fund Accounting System (MPOWER) records for investment transactions, verifying system-generated entries and posting manual entries as necessary
  • • Analyze acquisitions to ensure conformance with strategic goals or regulatory requirements
  • • Implement fund investment policies and strategies
  • • May identify group and individual target investors for a specific fund
Thanks,
Shriraj
 

Terang1987

Star Member
May 12, 2018
57
6
Hello Can you please tell me which NOC code exactly matches the below job responsibilities?
  • Calculates daily, weekly, and monthly net asset value (NAV) for appropriate funds
  • • Prepares monthly cash flow investment activity reports and year-end balances for cash, bonds, equities, and other invested assets
  • • Reviews bank statements/cash flows; recording bond amortization and interest accrual adjustments, corporate debt accruals and investment expense accruals
  • • Monitors and reports on compliance with investment guidelines and statutory regulations.
  • • Liaises with investment managers, prime brokers and custodians in relation to trading activity as required for transaction processing and NAV preparation
  • • Maintains the Fund Accounting System (MPOWER) records for investment transactions, verifying system-generated entries and posting manual entries as necessary
  • • Analyze acquisitions to ensure conformance with strategic goals or regulatory requirements
  • • Implement fund investment policies and strategies
  • • May identify group and individual target investors for a specific fund
Thanks,
Shriraj
Just search in google and type NOC code Canada.
Double check NOC
1111Financial auditors and accountants