Moteur de recherche d'offres d'emploi CACEIS

Assistant Manager, Funds NAV Calculation, APAC Operations M/F


Vacancy details

General information

Entity

CACEIS is the asset servicing banking group of Crédit Agricole and Santander dedicated to asset managers, insurance companies, pension funds, banks, private equity and real estate funds, brokers and corporate clients.

Through offices across Europe, North and South America, and Asia, CACEIS offers a broad range of services covering execution, clearing, forex, securities lending, custody, depositary and fund administration, fund distribution support, middle office outsourcing, issuer services and transfer agent.

With 7,000 employees and a large client base, CACEIS is a European leader in asset servicing and one of the major players worldwide

By working every day in the interest of society, we are a group committed to diversity and inclusion. All our positions are open to people with disabilities.
  

Reference

2024-91658  

Publication date

30/08/2024

Job description

Business type

Types of Jobs - Finance / Accounting

Job title

Assistant Manager, Funds NAV Calculation, APAC Operations M/F

Contract type

Permanent Contract

Expected start date

24/07/2024

Management position

No

Job summary

What is the opportunity?
CACEIS was set up in Cyberjaya, Malaysia in July 2023 with approximately 1,000 employees, with the acquisition of RBC investor Services’ European business and Malaysia centre of excellence, delivering operational excellence.

As a centre of excellence, the team in Malaysia provides asset services, custody and payments for clients in Europe (Belgium, Ireland, Luxembourg, Switzerland and United Kingdom) with a global operating model that maximises efficiencies across time zones, supports 17/5 operational capability with follow the sun model, enhances scalability of our global operations and the implementation of standardized processes.

The Supervisor will be reporting to the Senior Manager and will be responsible for the accuracy and delivery of the Financial Statements and Regulatory Submissions, as well as to ensure that all procedure are followed by the Fund Accountants.

Region: APAC
Working hours: 8:00AM /9:00AM – 5:00PM/6:00PM

 

What will you do?

  • Acting as a ‘checker’ to the Fund Accounting team, to produce consistent and accurate prices for your allocated funds, meeting tight deadlines within service level agreements (SLA).
  • Manage feedback to/from departments that will have input into net asset value (NAV) deliverables to ensure client deliverables and quality standards are met.
  • Supervisor will be the first escalation point for Oversight/Client and Fund Accountants in providing technical support and advice.
  • Ensuring effective controls and processes are implemented & managed by all Fund Accountants in order to maintain accurate records within the Funds business.
  • Identify business risks and ensure that relevant controls and governance are in place. This entails (but not limited to) to supporting the Team Manager in ensuring proper planning (ie. resources, competencies) for seamless daily operations.
  • Acting as coach and mentor to new and current team members and involves in training new members.

 

 

Supplementary Information

What’s in it for you?
We thrive on the challenge to be our best, progressive thinking to keep growing, and working together to deliver trusted advice to help our clients thrive and communities prosper. We care about each other, reaching our potential, making a difference to our communities, and achieving success that is mutual.

• A comprehensive Total Rewards Program including performance based bonuses, flexible benefits, and competitive compensation.
• Leaders who support your development through coaching and managing opportunities.
• A world-class training program in financial services.
• A collaborative dynamic culture where personal initiative and hard work are recognized and rewarded.

 

Position location

Geographical area

Asia, Malaysia

City

  Cyberjaya

Candidate criteria

Minimal education level

Bachelor Degree / BSc Degree or equivalent

Academic qualification / Speciality

  • Post -secondary education with an accounting/finance concentration or equivalent.

Level of minimal experience

3-5 years

Experience

  • 4 -6 years of relevant experiences with extensive Investment Fund Experience.
  • Familiar with Multifonds system.

Required skills

  • Accounting background.
  • Previous relevant industry knowledge.
  • Willingness to take on new challenges, confident and self-motivated.
  • Demonstrate leadership attitude.

Technical skills required

  • Proficient user of Microsoft Office – Excel, including macro.

Languages

English