1.
Opening and ongoing management of dividend account
2.
Providing
trustee
services
3.
Design and
bulk-printing of
dividend warrants
4.
Adoption
of autoplay
function
5.
Answering shareholders’
enquiries
6.
Notification to shareholders
7.
Liaising with
paying bank
8.
Calculation
of dividend
entitlements
9.
Revalidation
of dividend
cheques
10.
Handling of undelivered cheques/
autopay payment
11.
Account
reconciliation
12.
Dividend
forfeitures