Job Description Prepare investment reporting with Portfolio Managers, Local and Headquarter Management, Compliance and Auditors, Group and Head office and Third Party investors; Manage day-to-day trade booking, settlement and clearing, cash management, account opening and fund administrative matters; Record, compile and reconcile of the Fund’s monthly NAV valuation reports; Manage booking and reconciliation on corporate actions; Coordinate data with brokers, fund administrators, custodians, au
China Re Asset Management (Hong Kong) Company Limited - Hong Kong - Full time
Salary: competitive
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