Fund Services Manager
Bangkok, Bangkok, TH, 10500
Responsibilities:
- Ensure optimal levels of client service and ensure client deliverables are met on time and accurate
- Liaise with clients on NAV related matters and ensure standard compliance procedures are in place
- Have good understanding about AIMC guideline in relation to NAV/Fund Accounting related aspect
- Help engage with related team to help onboard/Setup new Fund in the system relating to scope of Fund Accounting/NAV
- Maintain proper accounting records for clients in an efficient and organized manner
- Support the team in preparation of annual reports and other relevant reporting documents
- Review fund valuations (post NAV exception checks/Validation) prepared by the team and assist with certain pricing task
- Maintain good relationship with inter-departments and inter-divisions to ensure an effective and efficient operation
- Assist in coaching and training Fund Accountants to service designated clients
- Develop and implement a process that help create greater team’s efficiency
- Participate in ad hoc projects and system enhancement initiatives as required
Qualification:
- Bachelor’s degree or above with experience of work
- Good attitude & Be cautious
- Good command of English in Read, Write, Speak
- Problem-solving skills
- Computer usage - Microsoft office, Excel, Word and typing
- Basic knowledge of calculation
- Accept workload and able to work overtime
- 3 Years experience or above