Key Responsibilities
- Assist in processing mutual fund applications and transactions.
- Maintain and update client records and documents.
- Verify KYC and other required documentation.
- Coordinate with clients and Asset Management Companies (AMCs) for operational requirements.
- Prepare and maintain reports in Excel.
- Handle filing, scanning, and record management.
- Support the team with daily administrative and operational activities.
- Ensure accuracy and timely completion of assigned tasks.
- Follow company policies and maintain confidentiality of client information.
Requirements
- Minimum qualification: 12th Pass.
- Basic knowledge of MS Office (Word and Excel).
- Good communication and organizational skills.
- Attention to detail and willingness to learn.
- Ability to work in a team and meet deadlines.
- Freshers are welcome to apply.
Pay: ₹7,000.00 - ₹12,000.00 per month
Benefits:
- Flexible schedule
- Paid time off
Work Location: In person