Fund Operation
Executive Access Hong KongFund Operation
About the Firm
A prominent hedge fund with a multi-strategy investment approach and a strong presence across APAC and US markets. The firm fosters a collaborative, flat-structured environment that values intellectual curiosity, operational excellence, and continuous learning. With a track record spanning over three decades, they are committed to data-driven decision-making and maintaining the highest standards of integrity.
About the Role
We are seeking a Fund Operations professional to join our operations team. This role is responsible for providing end-to-end operational support across multiple asset classes, working closely with traders, prime brokers, fund administrators, and internal stakeholders to ensure accurate trade capture, reconciliation, and operational efficiency in a fast-paced, multi-strategy environment.
Key Responsibilities
Trade Support & Operations
- Oversee daily trade capture, trade booking, and reconciliation with prime brokers and custodians.
- Work with traders to confirm allocations, resolve breaks, and ensure accurate settlement.
- Monitor corporate actions, cash movements, and position reconciliations.
- Support daily P&L production, position verification, and exposure monitoring.
- Handle ADR/GDR conversions and cross-border conversion processes, including coordination with prime brokers, custodians, and counterparties to ensure accurate and timely processing.
Fund Operations & NAV Oversight
- Validate daily NAV movements with fund administrator; investigate discrepancies promptly.
- Liaise with external fund administrators on NAV calculations, valuations, expenses, fees, and investor reporting.
- Support month-end and year-end financial processes, including audits and regulatory filings.
- Prepare internal management reports, portfolio analytics, and performance summaries.
Operational Infrastructure & Projects
- Streamline processes and contribute to building a scalable operational platform.
- Support system enhancements, automation initiatives, and workflow optimization.
- Collaborate with IT/data teams to improve data accuracy and operational efficiency.
- Work closely with investment, compliance, and finance teams to ensure smooth operational flow.
- Coordinate with external partners including prime brokers, fund administrators, auditors, and legal counsel.
Qualifications & Requirements
- Bachelor's degree in Finance, Accounting, Economics, Business Administration, or a related field.
- 5–8 years of relevant experience in hedge fund operations, fund administration, or middle office trade support.
- Experience with ADR/GDR conversions, cross-border conversions, or cross-border listing processes is highly preferred.
- Proficiency inOrchestrade (OMS/PMS) is highly preferred.
- Strong Excel skills required.
- Familiarity with financial instruments including equities, fixed income, swaps, options, futures, and FX across Asian markets.
- Fluent in English and Chinese (Cantonese and/or Mandarin) to collaborate effectively with APAC and EU teams.
- Strong attention to detail, excellent problem-solving abilities, ability to multitask in a fast-paced environment, self-motivated with a proactive mindset, strong communication and interpersonal skills.