Assistant Manager / Manager, Fund Administration

5G-Starlink Pte.

Singapore

On-site

SGD 90,000 - 120,000

Full time

4 days ago
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Job summary

5G-Starlink Pte. invites applications for an Assistant Manager / Manager, Fund Administration in Singapore.

The role involves overseeing trade order forms, NAV validation, and fund valuation reports prepared by Executives, and acting as a backup maker in rotation. You will review monthly holdings reconciliations, fee payments instructions with fund administrators, and ensure timely trade processing and NAV updates.

Qualifications

  • Degree with minimum 5 years of experience in fund accounting / fund administration.
  • Strong communication and interpersonal skills.
  • Committed and meticulous.
  • Strong team player and able to work independently.
  • Willingness to work in Singapore.

Responsibilities

  • Review trade order forms, NAV validation and fund valuation reports prepared by Executives.
  • Assume the role of a maker for backup/ rotation purpose.
  • Review the monthly holdings reconciliation for the Companys funds.
  • Review the fee payments instructions with the various Fund Administrators.
  • Ensure timely processing of the trades and ensure NAV prices are accurately and promptly updated.
  • Liaise with Auditors for any audit queries during the annual audit period.
  • Work with external tax consultant on the corporate tax filing and GST submission.
  • Prepare quarterly and annually reporting for management and regulatory.
  • Other ad-hoc duties / project(s) as assigned

Skills

Team player
Independent worker
Strong communication
Interpersonal skills
Meticulous
Committed

Education

Bachelor's degree in Finance / Accounting

Job description

Assistant Manager / Manager, Fund Administration

Job Openings Assistant Manager / Manager, Fund Administration

About the job Assistant Manager / Manager, Fund Administration

RESPONSIBILITIES:

  • Review on the trade order forms, the NAV validation and fund valuation reports prepared by Executives.
  • Assume the role of a maker for backup/ rotation purpose
  • Review the monthly holdings reconciliation for the Companys funds
  • Review the fee payments instructions with the various Fund Administrators.
  • Ensure timely processing of the trades and ensure NAV prices are accurately and promptly updated
  • Liaise with Auditors for any audit queries during the annual audit period
  • Work with external tax consultant on the corporate tax filing and GST submission
  • Prepare quarterly and annually reporting for management and regulatory
  • Other ad-hoc duties / project(s) as assigned

REQUIREMENTS:

  • Degree with minimum 5 years of experience in fund accounting / fund administration
  • Strong team player and able to work independently at the same time
  • Committed and meticulous
  • Strong communication & interpersonal skills
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