About Company
Our Client is a Japanese Fund Management Organization who was voted and held on to their title of Most Consistent Asia-based Fund and Credence Global with Best Asia-based CTA / Managed Futures Fund – both for the third consecutive year since 2016
Job Description
- Responsible in daily cash and position reconciliation
- Monitoring of upcoming corporate action events
- Capable of fund accounting services on funds, including preparation of NAV, cash and position reconciliation, settlement of trades and any other operation tasks being assigned
- Day-to-day system operations and daily risk reports generation to portfolio managers and senior management
- Participate in process optimization initiatives and ad-hoc projects
- Take on any other administrative job as being assigned to
Job Requirements
Understanding of fund operation related processesHaving SQL and accounting skillsStrong inter-personal skills and ability to work successfully with multi-cultural teams in diverse locationsAnalytical mindset and ability to work independently with positive attitudeProficient in Japanese language (speaking and writing) to communicate with Japanese stakeholdersCompensation
Work location : CBDWorking hour : Monday to Friday 8am - 5pm (follow Japan Time and Calendar)Bonus : Depending on the performanceAnnual leave starting with 12 working daysMedical and hospitalization benefits