Overview
Finance Fund Manager at Hytech, Kuala Lumpur, Malaysia. Responsible for building and optimizing the group’s fund management system, implementing funding strategies, and overseeing comprehensive risk controls throughout the process. Requires strong ability to coordinate funds on a macro level, familiarity with third-party payment system operations, expertise in fund analysis and forecasting, and efficient resource allocation to support the group’s strategic objectives.
Responsibilities
- Design and improve fund management policies, procedures, and operational standards for the group and private banking sectors
- Lead the development and iteration of the fund management system, driving integration and efficient operation of banking account systems and third-party payment platforms
- Oversee domestic and international fund pool management, optimizing fund collection and utilization efficiency
- Collaborate with the group and major shareholders to formulate medium- to long-term fund planning, including financing strategies, investment allocation, and liquidity management plans
- Continuously monitor market conditions and policy changes, adjusting fund strategies proactively to meet business development needs
- Manage daily fund allocation, position management, and liquidity risk monitoring for the group and private banking units
- Oversee diversified investment and financing solutions to optimize fund costs
- Manage cross-border fund flows ensuring compliance and controllable foreign exchange risk
- Possess in-depth knowledge of third-party payment settlement rules and system integration (e.g., Alipay, WeChat Pay, cross-border payment platforms)
- Promote automation of payment processes to enhance fund settlement efficiency and security
- Establish fund risk early-warning mechanisms covering liquidity risk, credit risk, and operational risk
- Conduct regular stress testing and scenario analysis, developing contingency plans
- Prepare daily, monthly, and special fund analysis reports, providing cash flow forecasts and gap analysis
- Use data modelling tools to optimize fund utilization efficiency and provide data-driven support for management decisions
Job Requirements
Bachelor’s degree or above in Finance, Economics, Accounting, or related fields; professional certificates in CPA, CFA, FRM are a plus3–5+ years of fund management experience within large corporations or financial institutions; experience with foreign exchange operations is preferable; expertise in fund pool management, cross-border fund flows, and financing instruments (e.g., supply chain finance, ABS)Familiarity with third-party payment systems, SWIFT, foreign exchange management, and international settlement; proficient in fund management systems (e.g., SAP Treasury), Excel modeling, and data analysis toolsProficiency in Mandarin (spoken and written) to liaise with stakeholders from Mainland China and TaiwanStrong risk awareness and compliance management skills; excellent cross-departmental collaboration and resource integration abilities; strong logical analysis and strategic visionWhat We Offer
Competitive compensation, benefits, and long-term incentive plans including medical, optical, gym, and sport subsidiesFlexible time working arrangementOpportunities to participate in group-level strategic projects and gain global exposureOpen, innovative work environment with professional growth and development#J-18808-Ljbffr