Eric Anand Noronha
About
Eric Anand Noronha is from Kuwait. Eric Anand is currently Manager - Settlement & Corporate Action(TPR) - MIS & Operations at Kuwait Financial Centre - Markaz, located in Kuwait City, Al Asimah, Kuwait. In Eric Anand's previous role as a Assistant Manager - Settlement (TPR) - Management Information Systems & Operations at Kuwait Financial Centre - Markaz, Eric Anand worked in until Mar 2022. Prior to joining Kuwait Financial Centre - Markaz, Eric Anand was a Relationship Manager- Consumer Finance at HSBC Bank, India and held the position of Relationship Manager- Consumer Finance.
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Eric Anand Noronha's current jobs
- Set and update procedures and controls mechanisms to effectively and efficiently execute all task and correctly safeguard the organisation operational risk. - Perform the day-to-day transaction processing activities including filing, pricing and valuation of quoted and un-quoted securities, benchmarks, indices and other assets reported daily, updating of respective positions and portfolios, allocation of trades and others transactions, and special events recording to ensure smooth and error free flow of operations. - Conduct the settlement of cash, securities (equities, bonds, sukuks, futures, forwards, options, private equities, funds etc.) traded by the company for itself or for funds, entities, and client portfolios managed by the company. - Liaise with reconciliation function in order to ensure that all trades are reconciled before the input goes to the financial ledger system in order to inform respective fund / portfolio manager of any missed trade for appropriate action. - Support the payments and settlements of payments with clearing companies and /or brokers for trades conducted by MARKAZ. - Collect and record fees recoverable from portfolios managed by company and interest due to / from clients as per respective contracts to ensure alignment with MARKAZ rules, regulations and contractual obligations. - Coordinate with reporting, corporate finance & CRD teams to issue notices for clients for capital calls, distributions, and rights issues. - Properly interact with reconciliation to resolve any un-reconciled trades/positions for registration of proper and correct information at all time. - Continuously interact and provide support to front office to ensure error free transactions and effective application of client instructions in a timely manner.Maintaining proper filing system for all CBK reports & correspondences. - Answering all queries from CBK. - Receiving all new CBK circulars and making sure to implement the guidelines issued.