to join our dynamic team of talented, fun-loving individuals.
:
Lead fund operations team and manage fund operational tasks related to asset management products including fund subscriptions and redemptions, investor transactions, capital calls, cash management/projections, and NAV reconciliation and review
Build Excel-based valuation models to estimate fund NAV (based on different required periods) and ensure accurate fund accounting books and records
Derive and analyse target operating model and operational requirements (including setting up of various SPVs in different jurisdictions as necessary) for new fund products offering
Assist with fund launches, bank account opening, and appointment of key service providers
Work alongside key management team leaders to continuously assess the quality and performance of the fund, ensuring ongoing compliance with all regulatory requirements
Drive annual audit process (including various SPVs related to different funds) with a good understanding of the internal control environment and act as the main point of liaison with the auditors for fund operations matters
Liaise with internal stakeholders and manage external service providers (i.e. fund administrators, legal counsels, corporate secretaries, fund board of directors, tax advisors, investment committee, etc.)
Support submissions of regulatory reports and filings
Requirements:
Minimum 7 years of proven experience in fund administration or fund operations
Bachelor's degree in finance or accounting is preferred
Strong problem-solving skills and ability to analyse and handle complex queries
Ability to multi-task, prioritize and manage time effectively
Excellent written, verbal communication skills and stakeholder management skills
* Strong ownership, relentlessly resourceful, enjoys working within an entrepreneurial environment
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