Operations

Custody - Part 3

概要

This eCourse consists of three modules. Module 1 examines the main differences between investment funds and provides an overview of the funds available in various jurisdictions around the world.

Module 2 looks at the crucial fund administration activity of fund accounting and valuation, as well as other key fund administration services.

Module 3 looks at how funds account for the different transactions in which they engage, especially buying and selling securities, and how the critical measure of NAV per share is calculated for funds.

宗旨

On completion of this course, you will be able to:
- Identify the features and characteristics of the various funds available to investors
- Recognize the importance of the separation of “funds” and “fund management” when establishing most investment funds
- Recognize the critical importance of fund accounting and the calculation of a fund’s net asset value (NAV)
- Identify key fund administration activities such as middle office risk reporting and profit and loss determination, fund formation, taxation, income processing, company secretarial and governance, and proxy voting
- Identify compliance-related fund administration activities, such as customer due diligence, and ensuring compliance with FATCA, AML, and CFT requirements
- Identify the role of accounting in the calculation of fund assets, liabilities, capital, income, and expenses
- Recognize the importance of accurate net asset value (NAV) calculations in enabling fund investors to make correct trading decisions
- Identify the main regulatory issues concerning money market funds and NAV calculations

內容

Module 1: Fund Types & Structures
Topic 1: Main Fund Types & Structures

Module 2: Fund Administration
Topic 1: Fund Accounting & Valuation
Topic 2: Other Fund Administration Services

Module 3: Fund Valuation
Topic 1: Fund Accounting & the NAV Cycle
Topic 2: NAV Calculation
Topic 3: Money Market Funds

詳情

活動編號
TEBOP18001001
地點
網上平台
相關主題
第9類 - 提供資產管理
第13類 - 為相關集體投資計劃提供存管服務
語言
英文
級別
Introductory
課程時數
SFC:3.00, PWMA:3.00
費用
香港中資証券業協會(HKCSA): HK$945
機構會員員工: HK$900
所有會員: HK$900
非會員: HK$1350