Responsibilities:
Handle overall fund operations, including subscription, redemption, capital call, distribution, payments and bank account opening etc.
Work closely with other team members such as portfolio manager, finance, legal and compliance to ensure operational process is smooth
Liaise with fund custodian, fund administrator, brokers, external auditors and other service providers
Participate in projects of new fund setup, fund supplement review and handle custodian and brokerage trading account opening
Execute systems enhancements and projects to optimize operational workflow
Ensure the fund operation in compliance with all SFC applicable regulations
Contributing to short and long term organizational planning and strategy
Perform other ad hoc projects/ tasks
Requirements:
Degree holder in Finance, Accounting or related areas
Broad understanding of different fund types including PE Fund, Hedge Fund of Fund
Candidate with Public fund & Equity Fund experience will be advantage
Detailed mind, multi-tasking and time management
Good communication and interpersonal skills
Good sense of teamwork and can actively assist the team in advancing work