Responsibilities:
· Work with Fund Administrators on fund subscriptions, transfers, redemptions, and various investment reports to investors.
· Assist in performing regular fund NAV valuation, trade booking, reconciliation, corporate actions
· Liaise with fund Administrator for NAV reporting, financial reporting, and client reporting.
· Review the accuracy and completeness of clients’ statements of accounts including capital activity, investment activity, income and expense accruals, valuation adjustments, etc.
· Support quarterly regulatory financial reporting to MAS.
· Handle daily fund operations such as preparing invoices, opening bank accounts, ad-hoc client requests, and routine regulatory reporting.
· Assist to manage and coordinate compliance and regulatory requirements involving auditors, corporate secretary, tax advisors and legal counsels.
· Assist in customer due diligence matters.
· Handle for company fund activity not limited to Investment, Treasury Management, Portfolio Management, Risk management etc
· In charge bank loan management
· Monitoring of cash flow inflows and outflows to minimise cost
· Provide support for ongoing investor-relations activities
· Company Ad Hoc duties
Requirements:
· A Bachelor’s degree / Diploma in Accounting or related field.
· Entry level or at least 1 years of relevant experience working in fund accounting or corporate accounting.
· Deadline-oriented with the ability to complete assigned tasks independently, with minimal supervision.
· Ability to multi-task and work in a fast-paced environment.
· Proficiency in Microsoft Office suite, with emphasis on Excel skills, is a must.
· Advantage on Korean Speaker