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Job Description
You will be part of the middle office operations team providing performance calculation and attribution analysis for our clients in the region. As part of team, you will be responsible for producing and validating performance returns, risk and attribution reports. You will also work closely with the onshore counterparts to establish global operating models and processes
Responsibilities:
- Producing, reviewing and validating portfolio account performance calculations and performance reports associated with accounts, composites and managers
- Creating customized reporting based on clients’ requirements; maintain, produce and review client composites according to SLAs and GIPS standards
- Provide scheduled/Ad-Hoc reports or MIS to Management as and when required.
- Reviewing, updating and implementing new processes and procedures as required, to enhance operational controls
- Monitor work activities to ensure timeliness and accuracy of the performance reporting, doing attribution analysis at fund level and security level
- Assist in preparing performance report using applications like Fact Set.
- Interfacing with performance and index vendors
- Experience in resolving data issues using accounting systems and ability to understand the flow between accounting and performance systems.
Qualifications:
- 5+ years' experience in performance measurement operations or experience with account/security level performance in a related field
- Familiarity/Understanding of Segment, Security and Attribution Performance Reporting
- Familiarity/Understanding of Global Investment Performance Standards (GIPS)
- Performance System Experience – Fact Set/Stat Pro/Morning Star (Preferred)
Education:
· Master's degree in accounting, Finance or related field
· Pursuing/completed CIPM, CFA or FRM (Preference – not mandatory)
Skills:
· Proficiency with EXCEL (macros, pivot tables etc.)
· Attention to detail
· Proven Problem-solving skills
