Responsibilities
- Support the day-to-day operations of the asset management business, including fund administration, procurement activities, and maintenance of operational systems.
- Assist in monitoring compliance with investment guidelines, regulatory requirements, internal bank policies, and risk management parameters, ensuring adherence across investment activities.
- Produce and maintain reports relating to asset allocation, derivative exposure, and other regulatory monitoring requirements for the investment services business.
- Enhance and maintain monitoring frameworks and tools to accommodate changes in customized investment mandates, new fund launches, and the introduction of new financial instruments.
- Participate in User Acceptance Testing (UAT) for system enhancements and development initiatives.
- Conduct NAV validation through reconciliations and other reasonableness checks to ensure accurate fund valuation.
Requirements
- Bachelor's degree in Finance, Business, Accounting, or a related discipline, or equivalent professional qualifications.
- At least 2 years of experience in asset management operations, investment products, or investment compliance monitoring.
- Familiarity with regulatory requirements related to capital markets and derivative products, including exchange-traded and OTC instruments such as equity options, repos, and total return swaps, would be advantageous.
- Strong command of both English and Chinese, with advanced proficiency in spreadsheet applications.
- Experience with Bloomberg AIM and/or investment compliance rule coding is highly desirable.

Référence 559610
Ambition is a leading global recruitment and executive search business operating across key international cities. We access hard-to-find, high-calibre...
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