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Open nowPosted 3 days ago

Operations Analyst

MyCareersFuture94,028 open roles

Pay
SGD 3,800 – SGD 5,000 a month
Where
Central, Singapore
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Your applicationOpen nowOperations AnalystMyCareersFuture · Central, Singapore
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Share of postings closed within
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  2. 3.3%3 days
  3. 7.7%7 days
  4. 14.0%14 days
  5. 33.7%30 days
This job: posted 3 days ago

The posting

Job Description & Requirements

- The candidate should be a team player, yet able to function independently. He/she should be self-motivated, possesses initiative and is able to function under pressure

- The candidate should be comfortable using Excel in their daily job. He/she should be analytical and meticulous with an eye for detail to process tasks accurately

- The candidate will required to perform a part of the following functions: operations and client servicing. This depends on the company's needs, and on the candidate's aptitude and abilities

- This is a junior level role requiring 1-2 years of experience in hedge fund, investment management or fund administration-related field

Fund Operations

- The scope to learn in this role will be significant as this is a front-to-back operations role, supporting the traders in the whole trade lifecycle

- Duties include monitoring of settlements, liaising with brokers & counterparts to resolve settlement issues, reconciliations - cash, trade, and position, static data management, daily reporting, ad-hoc query investigation and project work as required for portfolio managers' dashboards and working spreadsheets for portfolio management and analysis

- Work with third party service providers such as custodians, fund administrators, brokers and other external parties on all fund operational matters

- NAV reconciliation and trade breaks

Client Servicing

- Onboarding clients

- Assist fund managers in keeping track of all subscription details and monies

- Preliminary assessment on investors' background and source of wealth/funds, so as to raise suspicious accounts or high-risk investors to managers

- Liaise with fund administrators on all subscription, redemption matters and other fund related queries

- Preparation of monthly performance reports and investors' reports

- Update of fund performances on various alternative investments databases

- Handling queries of potential individual/corporate investors

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