Talent.com
Tawaran kerja ini tidak tersedia di negara anda.
Fund Accountant, Fund Administration M / F

Fund Accountant, Fund Administration M / F

Crédit AgricolePutrajaya, Putrajaya, Malaysia
1 hari lalu
Penerangan pekerjaan

Fund Accountant, Fund Administration M / F

Crédit Agricole S.A. Putrajaya, Malaysia

Crédit Agricole S.A. Putrajaya, Malaysia

Overview

Job description — Business type : Operations

  • Job title Fund Accountant, Fund Administration M / F
  • Contract type Permanent Contract
  • Expected start date 02 / 06 / 2025
  • Management position No

Job summary

CACEIS Malaysia is a processing center of operational excellence supporting 10 countries across three geographical time zones. Malaysia is one of two operational processing hubs that supports Custody - Transaction Management; Settlements; NAV Production; Fund Reporting; Shareholder Services; Global Fund Platform Services; Data Service Delivery; Entitlements - income and corporate actions and Reconciliations. The country employs a Global Operating Model to maximise efficiencies across times zones and supports a 24 / 5 operational capability. The objectives for Malaysia are to enhance the scalability of our global operations, improve service quality via our 'centres of excellence' and to implement / leverage standard processes globally.

Supplementary Information — Region : Supporting Region : Luxembourg

  • Working Hours : 9AM - 6PM
  • Responsibilities

  • To understand and perform the complexity fund with minimum support and propose improvement on the rule setup to reduce false positive.
  • To perform investigation and analyze on all exception identified in ALTO. In case of breach, determination of the status (active, passive, warning and technical breach)
  • To provide coaching and guidance to the Fund Accountant administrator of Fund Risk Management Support Team
  • To perform analysis on the fund prospectus and information from External data provider (Bloomberg, Telekurs...etc)
  • To understand and analyze on the legal rules of UCITS and Legal requirements and conduct sharing to the team on any new changes.
  • To understand clients and countries specificities in term of investment limits and propose best practice on compliance checks
  • To perform control review on all the breach items and input in the systems (ALTO).
  • To provide explanation and information to oversight team on any new breaches identified by the day through email communication.
  • To perform and review the control for PCS fund.
  • To provide support on any initiative changes within the team.
  • Qualifications

    Minimal education level : Bachelor Degree / BSc Degree or equivalent

    Academic qualification / Speciality : Bachelor's degree

    Level of minimal experience : 0-2 years

    Required skills

    What do you need to succeed?

  • Must-have : Relevant operational knowledge and experience (min 2-3 years).
  • Solid Funds industry experience.
  • Proven experience in Funds Accounting / Investment Compliance.
  • Previous analytical exposure is desirable.
  • Good written and verbal communication skills, ability to use initiative and excellent attention to detail.
  • Good interpersonal skills and networking abilities with agents and internal departments and ability to work as part of a team to achieve collective goals.
  • Good organization skills, ability to prioritize workloads to meet tight deadlines.
  • Funds Product Knowledge.
  • Investment Compliance / Regulatory knowledge.
  • Languages

    English

    #J-18808-Ljbffr

    Buat amaran kerja untuk carian ini

    Accountant • Putrajaya, Putrajaya, Malaysia