dspim
Officer - Client Service
What is the roles objective? To be able to execute all client response functions at front desk of Mumbai Branch including handling of petty cash / vendor payments. Acceptance & time stamping of applications, handling walk in clients for their queries and complaints. Proper scrutiny & other quality c
Virtual Relationship Manager-Mumbai
Virtual Relationship Manager (VRM), DSP Mutual Fund Role Title: Virtual Relationship Manager – Distributor Channel Location: Mumbai Role Purpose: The Virtual Relationship Manager (VRM) will be responsible for managing and growing relationships with Mutual Fund Distributors (MFDs) through virtual eng
Assistant Manager - Client Service
What is the roles objective? Supporting the Delhi Client Service team. AUM is approx. 28480 Crores In addition, Meerut AUM is about 188 Crores which is also handled by Delhi. To be able to execute all client service functions at Delhi office including handling of petty cash / vendor payments. To sup
Client Service - Officer
Job Description: • Liaise with the Transfer Agent and Administrator for transaction processing, fund reporting, and related operational activities. • Collaborate with Business, Transfer Agent, Administrator, IM to support new product and fund launches, including reviewing PPMs, application forms, an
Officer - Client Service
What is the roles objective? To be able to execute all Client Service functions at the front desk of Ludhiana Branch including handling of petty cash / vendor payments. The RR locations of Amritsar and Jallandhar also route all their queries to Ludhiana Acceptance & time stamping of applications, ha
Officer - Client Service
What is the roles objective? To be able to execute all Client Service functions at the front desk of Jaipur Branch including handling of petty cash / vendor payments. The RR locations of Ajmer, Udaipur and Kota also route all their queries to Jaipur Acceptance & time stamping of applications, handli
Officer - Client Service
What is the roles objective? Handling Front office and all client service activities at Chennai Branch: Attending to investor’s /distributor’s, accepting & time stamping of transactions post necessary scrutiny. Handling Queries/complaints received from Investors & distributors –through calls, walk i
Accounting & Audits
Objectives of the Role: Responsible for managing the day-to-day operations, Preparation and circulation of Monthly MIS, preparing budgets and forecasts and generating insightful MIS reports for decision making. Ensure accurate and timely monthly, quarterly and annual financial reporting. Responsible
Industrial Trainee - Tax
Objectives of the Role: Assistance in complying with tax laws - Direct as well as Indirect for - The Asset Management Company (AMC) and its subsidiaries - Funds managed by the AMC spanning across Mutual Fund, AIF, GIFT City and offshore Some of the key responsibilities include the following: Complia
Officer - Taxation
DSP Asset Managers is one of the premier asset management companies in India. We have a wide product stable with mutual fund products available across the risk-reward spectrum. Today, lakhs of Indian investors from over a hundred cities invest in one or more of our products. In this role, you will b
CA Industrial Trainee
CA Industrial Trainee – ETF Investment Support (Passive Investments) Mumbai | Work Type: Work from Office - full time role for 12 months governed by ICAI Industrial Training rules and processes About the Role DSP Mutual Fund's Passive Investment Desk is looking for a CA trainee who wants to work at
Cashflow - Officer/AM
Treasury Operations & Banking Understanding and executing cashflow managementTracking and tagging of subscription and providing to Fund Manager for utilizationReporting cash flow to Fund Manager / Fund accountantMonitoring of inflow/outflow of fundsCollateral & Margin management with CCIL / PCMExecu
Core Admin - Officer/AM
About the role: Reconciliations of holdings, banks and units. Corporate Actions Processing and Accounting. Portfolio and Factsheet Reporting Regulatory Reports and Internal reporting Data Migration and Maintenance across Internal Systems Administration of New Account Openings (Banks, Securities, Bro
Fund Administration - GIFT City
The key responsibilities would encompass: Responsible for accurate and timely execution of activities pertaining to NAV, various other reconciliations such as FA, Custody & Cash. Responsible for preparation and dissemination of various regulatory and scheme specific reporting (including IFSCA, SEZ &
Industrial Trainee - Fund Accounting - GIFT City
Objectives of the Role: Responsible for accurate and timely execution of activities pertaining to NAV, and various reconciliations such as FA, Custody & Cash. Preparation and dissemination of regulatory and scheme-specific reporting (including IFSCA, SEZ & FPI). Supporting administrative tasks and p
Team Leader - NAV, Valuation & Projects
Our fund administration philosophy: Own the numbers. Lead the trust. We’re looking for a team leader in our NAV and Valuation function — someone who blends precision with innovation. You’ll play a pivotal role in ensuring accurate fund valuation and NAVs, reconciliations, and regulatory reporting —
Trade Settlement - Officer/AM
About the Role – Trade Settlement • Reporting and settlement of debt trades with counterparties and custodian and matching with the contract note. • Reporting, reconciliation and settlement of equity and derivatives trades. • Tracking and processing of commodity trades and payments. • Reporting offs
Dealer
The Dealer (Alternate Investment Fund) will be responsible for executing equity trades as directed by the Portfolio Managers, maintaining relationships with market counterparts, and providing timely insights on market conditions. This role requires proactive engagement with the market to facilitate
Officer / Assistant Manager
The primary objective of the position is to manage support activities of investments front office and administrative work for Alternate Investment Fund. Key Responsibilities Trade Orders 1. Book trade orders in the Bloomberg for Alternate Investment Fund as per Portfolio Manager’s advice. 2. Forward
Manager - Credit Analyst
Our fixed income philosophy: Know the risk. Own the insight. Protect the downside. We're not just looking for a Credit Analyst. The person needs the conviction in his views to take risks, and not just benchmark to others in the industry. The edge in financial markets comes by not being in bandwagon,