Growth-Focused Fund Operations Specialist

Ternary Fund Management

Singapore

On-site

SGD 50,000 - 75,000

Full time

14 days+
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Job summary

Ternary Fund Management is hiring a Fund Operations Associate to help drive operational process improvements and manage fund-related relationships. The role focuses on daily fund operations, regulatory compliance, and data reporting within a growing firm in Singapore.

The successful candidate will assist in fund set up, NAV calculations, and trade support while collaborating with service providers and fund administrators to ensure accuracy and timeliness of all fund-related outputs.

Qualifications

  • Diploma or Bachelor Degree in Economics, Finance or Accounting.
  • CFA or CPA designation is a preferred qualification.
  • Experience up to 6 years in operations and risk assessment in funds/financial services is preferred.
  • Proficient with Excel and strong data manipulation skills.

Responsibilities

  • Assist in funds setup by drafting fund documents and coordinating with service providers.
  • Monitor and support day-to-day fund operations including USD settlement, NAV reporting, subscriptions and redemptions, and investor reporting.
  • Identify and manage initiatives to improve operational processes and reduce risks.
  • Collaborate with fund administrators to ensure timely and accurate NAV production.
  • Capture and reconcile all transactions in the portfolio management system.
  • Perform trade, cash and positions reconciliations.
  • Report AUM and P&L outputs.
  • Handle ad hoc projects as necessary.
  • Assist to trade for a Portfolio Manager and set up trade exchange accounts.

Skills

Data analysis
Excel proficiency
Regulatory knowledge
Attention to detail
Team collaboration

Education

Bachelor Degree in Economics / Finance / Accounting
CFA or CPA preferred

Tools

CRM software

Job description

Ternary Fund Management is hiring a Fund Operations Associate to help drive operational process improvements and manage fund-related relationships. The role focuses on daily fund operations, regulatory compliance, and data reporting within a growing firm in Singapore.

The successful candidate will assist in fund set up, NAV calculations, and trade support while collaborating with service providers and fund administrators to ensure accuracy and timeliness of all fund-related outputs.

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