:Location: Calgary (AB)This is a hybrid position primarily based in Calgary, Canada. We\'re committed to your flexibility and wellbeing and our hybrid strategy currently requires two days a week in the office, giving you the option to work remotely for some of your working week. .We give you a world of potentialWe are so excited to be advertising for an Administrator to join our brilliantly talented Coporate Trust team on a permanent basis.Are you looking for that next big move or maybe you feel a little stagnated in your current role or perhaps you want to work for an organization that offers you flexibility, creativity, and variety? Are you passionate about building relationships and delivering successful outcomes? Whatever it may be, this role could just be what you are looking for!The Corporate Trust Administrator works closely with the Professional Administrator in ensuring all department reporting is completed on a timely basis. The Administrator also works closely with the Manager of Corporate Trust, the Corporate Trust Officers and the Associate Trust Officers to ensure the new business files are set up correctly in our system. The Administrator provides clients with the reports on warrant exercise as they happen.A role you will loveThe Corporate Trust Administrator is responsible for setting up and monitoring the flow of new business files with in the department. This encompasses creating the electronic client file, initiating the new business checklists, setting up the CART diaries and initiating the invoicing. The Administrator also adds the new files to be database and provides follow up to the Department Manager and Professional Administrator a report of delinquent items. The Administrator is also responsible for updating the billing information in our databases and communicate information to the Client Master Data Group in the Billing area. The Administrator completes the warrant exercises initiated by the holders for our branch including checking the calculations, creating the capital control forms on workflow, completing and sending the report to the client as well as receiving and forwarding funds from and CDS exercise.Some of your key responsibilities may include:
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