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Global Asset Management Company
Seoul, South Korea▣ Company: Global Asset Management Company
▣ Position: Korea Fund Administration Vice President
▣ Location: 서울
▣ Positions:
Role Responsibility
Provide an authoritative source of business, industry and technical accounting expertise on functional and process requirements; manage change and the strategic agenda for key initiatives that impact across process and people.
Supervise a small team of individuals dealing with full oversight of the fund accounting process and fund specific projects
Build strong relationships with contributing business areas within company to improve the processes around fund launch and product change. Especially maintain a strong working relationship with the Product Development and New Product Services Groups.
Represent company in the Korea marketplace and where applicable and possible, participate in relevant industry working groups
Ensure compliance with all relevant company policies and with regulatory requirements across all Products.
Key contact point for outsourced fund administration vendor relationships.
Assisting the in the preparation of Financial Statements and in managing local audits, working closely with fund auditor.
Managing shareholder taxation relationships and tax aspects (such as withholding and CGT tax) relating to the funds in conjunction with Product Tax and ensuring a robust procedural and oversight environment.
In conjunction with the Director assist with recruitment, succession planning, career development and training.
Ensure Team approach is consistent with global best practice for control, oversight and management of vendors and production of fund asset valuations and where appropriate provides input and drive to enhance such processes.
Maintains strong relationships with Fund Administration teams in Australia, Hong Kong, Singapore, Japan, and Taiwan, ensuring consistency of process and most optimal use of resource to provide various control and administrative duties (such as daily NAV review, tolerances checks, invoicing, etc.) to achieve complete and robust oversight of vendors and specific fund processes.
Contribute to required Board or Committee reports reflecting operational developments, issues and actions and represent operations at board meetings and any specific sub-committee operating groups.
Experience
Preferably relevant recognised qualification (AICPA, CFA), or equivalent years-served industry experience
7+ years post-qualification experience in the fund industry with fund accounting focus and exposure to retail, institutional, offshore product.
Significant expertise in fund valuation and associated reporting and administrative requirements.
Ability to develop high quality individuals.
Proven experience in managing operational processes.
Thorough understanding of the fund valuation and associated transaction lifecycle and key control frameworks.
Strong understanding of investment processes and controls across all product structures.
Strong prioritisation skills and ability to manage differing requirements from multiple ‘clients’.
Strong ability and track record in determining and implementing change management to process and product.
Develop practical and pragmatic solutions through a ‘hands on’ approach.
Ability to justify and defend proposed approaches.
Strong team player with excellent interpersonal skills.
Can work effectively within a small team and also across several larger teams.
Needs initiative, drive and enthusiasm.
Ability to motivate self and others through times of change.
Excellent attention to detail.
Excellent verbal and written communication capabilities – ability to interact with all levels, including directors, industry groups, business heads and the firm’s senior management.
▣ 전형방법
– 서류 및 면접 전형
– 서류 전형에 합격한 분에 한하여 개별 연락을 드립니다.▣ 제출서류
– 한글과 영문이력서를 MS-Word 양식으로 e-mail로 보내주시기 바랍니다.
– 이력서에 이름 포지션 타이틀을 써주세요. 예 resume_이름_포지션 타이틀
– 제출마감시간 : 채용시까지▣ 연락처
Felix Won, Recruitment Consultant
Mobile 82-10-5112-2317
Office 82-2-551-2107
Email felix@younpartners.com