Operations Senior Manager/ Manager - Wealth Management Operations (Fund Services) Operations Senior Manager/ Manager - Wealth  …

Noah International (Hong Kong) Limited
à Hong Kong, Hong Kong, Hong Kong
CDI, Plein-temps
Dernière candidature, 11 août 20
Competitive
Noah International (Hong Kong) Limited
à Hong Kong, Hong Kong, Hong Kong
CDI, Plein-temps
Dernière candidature, 11 août 20
Competitive
We are searching for candidate to support the post trade lifecycle. Candidate with less experience will also be considered.

Noah International (Hong Kong) Limited (“Noah Hong Kong” or “Noah HK”) is a subsidiary of Noah Holdings Limited (NYSE: NOAH) (“the Group”) and is managed by experienced senior management and professional specialists. We are rooted in Hong Kong with the eyes on the global market, connecting the globe with the most updated financial information and offering the high-net-worth individuals, family offices, and corporations from China with full range of global asset allocation, family wealth inheritance, and other financial services. Noah Holdings (Hong Kong) Limited as part of Noah HK, is regulated by the Hong Kong Securities and Futures Commission with Type 1 (Dealing in Securities), Type 4 (Advising on Securities) and Type 9 (Asset Management) licenses since 4th January, 2012. We are the overseas platform of financial product selection and structuring for the Group. Currently, the offshore financial products offered by Noah HK are categorized into 5 categories: Credit Fund, Secondary Market, Real Estates, Private Equity, and Cash Management. We design and advise suitable investment products for clients based on their needs in the global financial market. We work closely with leading fund managers in order to minimize the concentration risk of client portfolio and assist clients to achieve global asset allocation.

 

Scope of Responsibilities:

  • Supporting daily operations across all aspects of post trade lifecycle activities, including but not limited to Fund subscription and Redemption execution, distribution, settlement, reconciliations and documentation services for Mutual Fund and Private Equity Business
  • Arranging client cash management activities, fund deposit and withdrawal, FX transaction, transfer, AML validation
  • Coordinating with Product Managers, Fund Administrators, Legal Counsels, Fund Accountants and other related parties to set up new products, resolve issues
  • Managing documentation for subscription and redemption of funds, regular or ad hoc internal & external reports
  • Responding and resolving enquiry from clients, relationship managers, internal and external parties on timely basic
  • Participating operation projects, covering document of user requirement, UAT
  • Assisting ad hoc tasks if required

 

Skills & Qualifications:

  • Bachelor Degree with major in Finance, Accounting or other related discipline
  • Minimum of 3 years’ operations experience in Mutual Funds, Private Equity
  • Understand the Mutual Fund transaction flow with Euroclear FundSettle is an advantage
  • Self-motivated, good initiatives and ability to work under pressure and in a fast paced environment.
  • Good team player and possess strong organizational skills.
  • Strong analytical skills and high attention to details.
  • Proficient in Microsoft Suite.
  • Excellent communication skills in both written and verbal in English, Mandarin and Chinese.

If you are ready to challenge yourself in a performance-driven and dynamic culture that recognizes and rewards talent, we would like to meet you. We are an equal opportunity employer. Our application process is completely secure and confidential. When you submit your credentials, we will review your application, examine your qualifications. We will contact you to pursue a conversation if your background and skills align with our firm’s needs.

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