Assistant Manager - AIF Client Services

Nippon Life India AIF Management LTD

Mumbai

On-site

INR 600,000 - 850,000

Full time

14 days+
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Job summary

Nippon Life India AIF Management LTD is seeking an experienced professional to manage end-to-end client onboarding through physical and digital platforms, including KYC/EDD and regulatory compliance across multiple AIF schemes.

You will review documentation, perform CDD/EDD, coordinate with service managers and trustees, and ensure timely investor servicing & MIS reporting. 3–5 years in AIF client services preferred.

Qualifications

  • Bachelor’s degree in finance, commerce, accounting, economics or related discipline.
  • 3–5 years of experience in AIF client services is preferred.
  • Strong knowledge of KYC/AML, CDD/EDD and regulatory guidelines.

Responsibilities

  • Manage end-to-end investor onboarding through physical and digital platforms.
  • Perform KYC verification and CDD/EDD for various investor types.
  • Process transactions including redemptions, top-ups and distributions.
  • Prepare and publish MIS and analytics for management review.

Skills

Investor Onboarding
KYC/AML
CDD/EDD
Transaction Processing
MIS Reporting
Data Analysis

Education

Bachelor's degree in finance/commerce/economics

Job description

Role Purpose:

Manage end-to-end client onboarding through physical and digital platform. Process redemption, Top, up, other financial and non-financial transactions. Perform Client due diligence / Enhanced due diligence, KYC verification, generate business MIS, exposure to internal/ statutory audits, compliance, and stakeholder management while ensuring operational efficiency and governance across multiple AIF schemes.


Responsibilities
1) Client Onboarding:
  • Manage end-to-end investor onboarding through both physical and digital platforms.
  • Review and process account opening documentation in accordance with regulatory and internal policy requirements.
  • Monitor onboarding turnaround times and resolve documentation discrepancies promptly.
  • Maintain accurate investor records and ensure timely account activation.
  • Ensure timely activation of investor accounts post fund reconciliation and maintaining high standards of accuracy.
  • Coordinate with relationship managers, regional service managers, trustees, and fund administrators for seamless onboarding.
  • Ensure prompt resolution of operational and investor-related queries.

2) KYC, Due Diligence & Compliance :
  • Perform KYC verification and documentation review for individual, corporate, trust, partnership, and foreign investors & others.
  • Conduct Client Due Diligence (CDD) and Enhanced Due Diligence (EDD) in line with AML, FATCA, CRS, and regulatory guidelines.
  • Identify and escalates high-risk investors, PEPs, adverse media findings, and sanction screening alerts.
  • Ensure compliance with SEBI, PMLA, and other applicable regulatory requirements.
  • Escalate exceptions and compliance concerns to Head - CS

3) Transaction Processing & Investor Servicing :
  • Process financial transactions including:
  • Capital commitments and drawdowns
  • Top-up investments
  • Redemptions, class change
  • Distribution payouts
  • Bank mandate updates and payment processing
  • Handle non-financial transactions such as:
  • Change of bank details
  • Change of address/contact information
  • Nominee updates
  • Transmission/Transfer and investor profile updates
  • Document and communication requests Tracking requests from branches, sign verification through RTA, preparing file with exit load, validating the processing file as per internal SOP and releasing.
  • Tracking and recording deferral and approvals.
  • Preparing and recording side letters

4) MIS, Reporting & Analytics
  • Prepare and publish periodic business MIS and operational reports for management review.
  • Track key operational metrics including onboarding volumes, transaction volumes, TATs, pending requests, exceptions, and investor servicing trends.
  • Develop dashboards and analytical reports to support business decision-making.
  • Reconcile operational data and ensure accuracy of reporting.
Experience : 3-5 Years Alternative Investment Funds (AIF) Client Services

Education : Bachelors degree in finance, Commerce, Accounting, Economics, or related discipline.

Functional Skills
  • Investor Onboarding & Account Opening
  • KYC/AML, CDD/ EDD & Risk classification
  • Transaction Processing & Investor Servicing
  • Fees/ Expenses and Empanelment
  • MIS Reporting & Data Analysis
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