
Fund Operations & Client Service Analyst
- Singapore
- Permanent
- Full-time
- Support investment operations
- Monitor Fund cash levels and cashflow forecasts
- Organize Capital calls and Distribution based on investment team indications
- Support the launch of new funds and investment SPV
- Update and ensure accuracy of data in the fund reporting system (eFront) and in all internal and external communications
- Control (through reperformance or key controls) the Fund NAV prepared by the external accountant/administrator
- Supervise and coordinate external suppliers in the production accounting, valuation, and regulatory fund documentation
- Update the external Fund Administrator of all investments made by the fund and operations with investors
- Participate to the definition of internal procedures and strengthening of the internal control environment
- Analyse fund performance, cashflow projections and prepare ad-hoc investor reporting
- Understand fund by-laws and prepare waterfall calculation files
- Produce quarterly reporting at fund level and debrief the local investment team on the fund valuation
- Oversee and structure the Client Service function in the Asia region
- Act as the direct point of contact for strategic investors in the region and escalation point for our investors located in Asia
- Support and perform AML / KYC due diligence in coordination with the Fund Transfer agents in Europe and Asia
- Ensure client reporting is delivered accurately and in a timely manner
- Implementation and monitoring of Distribution Agreements
- Manage and escalate requests appropriately while maintaining the direct relationship with the client for response.
- Master's degree in Finance or equivalent
- Excellent Excel skills
- Ability to work in a fast-growing international environment,
- Perfect command of English.