Full-time Posted June 14, 2026
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Job Description

About Company:

Our Client is a Japanese Fund Management Organization who was voted and held on to their title of Most Consistent Asia-based Fund and Credence Global with Best Asia-based CTA/Managed Futures Fund – both for the third consecutive year since 2016

Job Description:
  • Perform daily and monthly NAV calculations and validation processes
  • Conduct comprehensive P&L reconciliation and variance analysis
  • Calculate and verify management fees, performance fees, and expense allocations
  • Oversee month-end and year-end closing procedures
  • Monitor trade settlements and resolve settlement failures
  • Reconcile trades, positions, and cash balances with Prime Brokers daily
  • Support trade bookings and lifecycle events for Japan-listed equities
  • Handle corporate actions processing and income collection
  • Manage FX hedging reconciliation and mark-to-market processes
  • Liaise with Transfer Agency on s...

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