Finance
Streamline trades in accordance to policy and time restrictions
Process liquidations/purchases by check, ACH, and wire
Transfer/exchange account assets into newly established accounts by percentage, value, or shares
Review and resolve reports generated as erroneous processings and financial transactions
Administration
Research/analysis on multiple investor record-accounts
Generate multiple updates to account personal information and banking instructions
Train new employees on use of dynamic programs and methods used to execute tasks
Customer Services
Quality control for shareholder statements and tax forms generated
Drafting and mailing letters to clients based on needs and requests
Review, print, or scan multiplex of documents for entire company