Bilingual Japanese Custody Management Administrator – Account Control/Fee Management
Job in
Hoboken, Hudson County, New Jersey, 07030, USA
Listed on 2026-01-10
Listing for:
Alpha Global Search LLC
Full Time
position Listed on 2026-01-10
Job specializations:
-
Finance & Banking
Accounts Receivable/ Collections, Accounting & Finance, Financial Reporting
Job Description & How to Apply Below
International Bank is seeking a Custody Management Administrator with Japanese language skills who enforces client accounts management and quality improvement activity. Controls, processes and handles the creation and submission process of custody fee invoices, manages daily reconciliation process for fees receivable, and creates daily records. Generates and reports the accrual reports.
JOB FUNCTIONS (DUTIES/RESPONSIBILITIES)(Account Control)
(Fee Management)
- Researches, traces and verifies accurate fee factors such as missing security /prices/MBS factors/FX rate and check new security setup and CA related transactions.
- Maintains and updates checklists and fee schedules regularly to prepare for fee process.
- Setup fee schedules/calculation formula/account set up in the Fee System.
- Generates the data of holdings and transactions from Inquiry Plus and creates USD base data to verify asset values and transaction count PIVOT tables for all the customers’ invoices.
- Check and verifies the draft invoice.
- Controls and manages uploading and generating of miscellaneous fees directly received from sub-custodians, including class action service fees/proxy voting fees.
- Calculates fees based on billing cycle base, monthly, quarterly and semi-annually.
- Solves problems by intense investigation in case of discrepancy found in the invoice contents.
- Creates manual invoices when Fee System does not function in the event of special or irregular fee calculation requested, or accurate fee data is not available on the fee database.
- Sends finalized PDF custody fee invoices to the clients via email/File Marshal.
- Requests Market database/CA teams in CS or IT to update and modify fee factors when irregularity found.
- Creates report the total month end asset market values of the Bank and reports to senior mgt.
- Creates fee analysis reports for business statistics in Japanese and English.
- Creates fee estimates in Japanese or English upon client requests.
REQUIREMENTS
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