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2025 Graduate Program - Halifax, Canada - Jobs in Halifax, Nova Scotia

Job LocationHalifax, Nova Scotia
EducationNot Mentioned
SalaryNot Mentioned
IndustryNot Mentioned
Functional AreaNot Mentioned
Job TypeFull time

Job Description

Job DescriptionAre you a graduate who’s keen to get started in Financial Services You came to the right place!Here’s the scoop. We are currently recruiting for our Graduate Program which will commence in September 2025, based out of our Halifax office. Not only do you have the opportunity to join a Global Leader in Financial Services, but you will also work across many of our different business areas on a rotational basis, gaining a broad understanding of how we work and what our different teams do. You will learn from the best of the best alongside our Senior leaders, one of whom will be your coach/mentor who you will meet throughout the program.Graduates are our future leaders, and we want to give you the tools, support and resources to succeed! This two-year structured program also offers you a chance to see the world. You will get to work from one of our global offices on an international secondment which will take place after you have been with MUFG for 18 months.Your ResponsibilitiesWe have included some details of the departments you will be working on a rotational basis in and the tasks you will be responsible for below. In addition to the below, you will also be involved in exciting projects within the business.Client Delivery

  • Ensure timely and accurate NAV calculation on a weekly and monthly basis
  • Assist in preparation of audited Financial Statements and annual audit
  • Respond to client queries in a timely and efficient manner
  • Prepare reporting for the regulatory authorities
BPO: Business Process Outsourcing
  • Perform daily cash and position reconciliations for Clients against Prime Brokers, Custodians, Fund Administrators and In-house systems
  • Support trading operations between the front and back office, from post-execution through to settlement
  • Resolve trade related disputes and breaks with Prime Brokers, Custodians, Executing brokers, and Investment Managers
  • Liaising with banks, brokers and custodians to ensure smooth service delivery to clients and completion of deliverables as well as communication of corporate actions
Investor Delivery
  • Maintain investor details database including creation of statements and contract notes for fund activity
  • Process capital transactions, dividends, calls, and distributions in accordance with the guidelines outlined in the fund offering documents
  • Client service and query management
Investment Dataamp; Valuations
  • Set-up, maintain and monitor automated processes such as trade capture and portfolio pricing
  • Set-up and maintain reference data for various investment products (equities, bonds, FX, OTC derivatives, etc.)
  • Respond and solve enquiries regarding financial instruments, corporate actions, and pricing and valuation
Portfolio Operations
  • Ensure trade processing is complete, corporate actions have been booked correctly and security pricing is accurate
  • Operate and oversee reconciliation technology to identify exceptions
  • Perform investigative work to resolve breaks, engaging with brokers and investment managers
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