•Correct verification of Pay-in and Pay-out of shares on behalf of clients
•Dematerialization of physical share certificates
•Provide proper information to clients and Associates regarding Corporate Announcement of Securities
•Co-ordinate, promote and support equity shares (IPO) and its bidding process.
•Coordinating with Trading Section and Accounts Section.
•Dealing with institutional clients and handling trading activities.
•Handling any kind of support activities relating to institutional trades and retail clients
•Co-ordination with the branches, franchisee and the dealers
•Providing training and presentations on Capital and Commodity Market awareness to Clients, Dealers and Institutions.
•Preparing P& L Account for the clients and maintenance of Books of Accounts off all clients and Franchisee’s
•Handling risk management of branches and Franchisee’s