I am planning to migrate to Canada through Express Entry. Can you please advise the NOC code for the below jobs and responsibilities:
1) Process subscriptions, redemptions, transfers and switches for a range of onshore and offshore funds
2) Daily reconciliation of Cash Accounts
3) Resolve dealing related enquiries by email and by telephone, supplying information relating to funds, portfolios, prices,dealing procedures, markets and currencies.
4) Processing paperwork for trades and related activity.
5) Assist with preparation of anti-money laundering documentation
6) Maintain shareholder register and investor files
7) Reporting of fund transactions to fund accountants.
8) Liaise with local offices, clients and shareholders around the world
9) Timely resolution of audit requests
10) Preparation of contract notes , shareholder statements and investment Manager Reports
1) Process subscriptions, redemptions, transfers and switches for a range of onshore and offshore funds
2) Daily reconciliation of Cash Accounts
3) Resolve dealing related enquiries by email and by telephone, supplying information relating to funds, portfolios, prices,dealing procedures, markets and currencies.
4) Processing paperwork for trades and related activity.
5) Assist with preparation of anti-money laundering documentation
6) Maintain shareholder register and investor files
7) Reporting of fund transactions to fund accountants.
8) Liaise with local offices, clients and shareholders around the world
9) Timely resolution of audit requests
10) Preparation of contract notes , shareholder statements and investment Manager Reports