Job Duties & Responsibilities
Perform daily fund valuation and NAV calculation, ETF experience is preferred
Maintain information related with fund operations timely and accurately, including fund subscription/redemption, holdings and transaction reconciliations and fees and expenses accruals, etc
Handle client reporting and enquiries from customers in an efficient manner; and be accountable for the resolution progress
Liaise with auditor on fund audit work
Participate in user acceptance test for system enhancements
Handle ad-hoc projects as assigned
Requirements
Degree holder preferable in Business, Finance, Accounting or other relevant disciplines
Excellent administrative and business support skills, with the ability to multi-task and to work calmly under pressure.
Excellent working knowledge of MS Office suite including Word and Excel, knowledge in Multifonds TA is an advantage
Strong written & verbal communication skills
Ability to work accurately to tight deadlines
Proactive and able to work independently and as part of a team
Fluency in English, Cantonese and Putonghua
| 薪酬 | 薪金面議 |
| 工種 |
|
| 工作地點 |
|
| 僱用形式 |
|
| 教育程度 |
|
刊登於 3日前
刊登於 5日前
刊登於 2日前