- A global leading alternative Investment Manager
- Strategically expanding their trading team in Hong Kong
About Our Client A global institutional asset manager that provides creative solutions for those seeking capital in special situations.
With more than hundreds of people across multiple global offices, They often provide capital where competitors won't.
Job Description - Organize and lead initial investment discussions and ensure the firm's internal investment pipeline and order management system (OMS) maintain complete, real-time accuracy
- Support APAC investment team in the operational aspect of all corporate securities transactions including private convertible bonds and other bespoke direct lending transactions.
- Bring a control first mindset to trade management; have an exceptional knowledge of trade capture, post trade reconciliation and controls, asset servicing, and collateral & liquidity management
- Work as the first hire on the APAC Operations team to provide high quality coverage to all trading desks, across APAC time zones
- Serve as a "go to" resource in APAC for the business, asset management, legal counsel, senior leadership, and other internal stakeholders
- Coordinate with the firm's global custodians, dealers, and prime brokers to launch new accounts, implement controls to minimize errors, and improve daily processing workflows
- Support the addition of new global custodians, trading counterparts, deal sources, financing lines, and joint venture relationships
- Set up new accounts and entities with the firm's fund administrator
- Work closely with the team to monitor, record and reconcile cash inflows and outflows from new and existing investments
- Assist with internal data integrity analysis
- Promote and sponsor ad hoc projects as needed
The Successful Applicant The individual will have demonstrated an ability to work in fast-paced, performance-driven environment with an ability to think broadly about the business, incorporating continual improvement of processes and procedures with a goal of excellence while focusing on accuracy and efficiency.
- Bachelor's degree from a top university, ideally in a quantitative area (e.g., finance, economics, accounting)
- 5-10 years+ of direct experience at a securities or buy side investment firm
- Excellent Microsoft Excel (VBA a plus) skills
- Experience with risk, settlements, or trading assistant functions
- Experience interacting with Prime Brokers, Custodians, and OTC Counterparties
- Experience implementing strategic, scalable solutions to foster Front Office business growth
- Experience working with large data sets; an understanding of data hierarchy
- The highest level of personal integrity and ethical standards
- A positive attitude, strong work ethic and a desire to work collaboratively across the organization
- Ability to communicate at a high level
- Strong attention to detail
What's on Offer - Working with a global leading Alternative Investment Management company in Hong Kong
- Global expoure
- Competitive compensation structure and benefits