Privium Fund Management

Job title:

Associate Operations

You may download this job opportunity.

Working at Privium Fund Management means you will be working in a growing but immensely professional company. As an independent, global investment management firm Privium works in partnership with investors over the world to develop, structure and manage alternative investment strategies. Our global team consists of 35 employees and approximately 100 investment staff. Privium Fund Management (HK) Limited is looking for an enthusiastic and motivated Associate Operations to join our team at our Hong Kong office. The person is responsible for the Middle Office activities and will work closely with the operations people in Singapore and The Netherlands.

Period: Permanent role, full-time

Office location: Hong Kong

Privium Fund Management - Hong Kong

Privium Fund Management (HK) Ltd. (Privium HK) is an independent, regulated and rapidly growing investment management company based in Hong Kong. Privium HK is part of the Privium Fund Management group with offices in Hong Kong, Singapore, London and Amsterdam. Collectively, the Privium office manage over $4 billion in assets across different jurisdictions.

Privium HK is regulated by the Securities and Futures Commission (SFC) as a Type-9 licensed asset manager. We operate portfolio management teams running various investment strategies such as hedge funds, private equity/debt, venture capital, and other alternative investments. Our global mandates also include sustainable and impact funds.

The funds and managed accounts managed by Privium HK are offered to investors such as (the clients of) private banks, family offices, wealth managers, insurance companies and pension funds. 

Privium HK closely works with top-tier service providers (e.g. law firms, auditors, fund administrators, custodians, prime brokers and tax/compliance advisors) to support its business activities and service investors.

Tasks and responsibilities

  • Reconciliation of trades, portfolio positions and cash balances with external third parties (banks, custodians)
  • Ensure that deliverables are finalised by the agreed deadlines with the clients
  • Perform daily and monthly portfolio profit and loss calculation 
  • Trade settlement and corporate action processing
  • Calculate shadow NAV’s for funds and validate third party administrator NAV’s
  • Ensure that all controls and procedures are complied with the operations manual and company policies
  • Service provider oversight and client relationship management
  • Streamline operational processes to reduce risk and improve efficiencies
  • Deal with ad hoc requests
  • Work with various products including bonds, swaps, equities, options, FX, repos, and futures
  • Opportunities to work on different projects and developments
  • Client and service provider on boarding

Requirements

  • Bachelor’s Degree in Accounting, Finance, Economics or related fields
  • At least 3 years working experience at a back office of a fund- or asset manager or as a fund accountant/fund administrator
  • Affinity with the financial and fund industry
  • Experience with settlements is an advantage
  • Knowledge of different types of investment products
  • Positive working attitude and the ability to work under pressure independently and as a team player
  • Ability to work accurately, take initiative and solve problems effectively
  • Strong communication skills, excellent client service orientation and ability to deal with demanding clients
  • Critical thinker with track record of process improvements
  • Strong numerical and analytical skills
  • No 9-5 mentality, proactive and good team player
  • Excellent communication and writing skills in English and Mandarin
  • Experience with Bloomberg (terminal) and SS&C Eze is preferred, but not required

What we offer

  • Working with top tier portfolio managers and service providers;
  • A very diversified portfolio of funds;
  • Being part of an international, diversified, skilled and motivated team;
  • Working for a fast-growing group of companies;
  • International exposure and experience;
  • Competitive remuneration package and great colleagues to work with.

Please send a CV and motivation to: Marteis Versluis (mversluis@darwinplatform.com)

– No recruitments agencies –

 

Please read and accept the following disclaimer

Privium Fund Management is a global group of companies.

Privium Fund Management B.V.

This website does not constitute an offer or solicitation to buy any of the funds mentioned, if:

  • you are in a jurisdiction where this would be unlawful
  • it is unlawful to make an offer to a certain type of investor

Do not run any unnecessary risk. Read the Fund Documents (Prospectus, Terms & Conditions and Key Information Document (KID)). Past performance is not indicative for future results. The value of investments and any income generated may go down as well as up and is not guaranteed.

Investors should further perform their own due diligence.

The information on this website does not constitute any investment, tax, legal or other advice. Privium Fund Management B.V. does not warrant the accuracy, adequacy or completeness of the information and materials contained on this website and expressly disclaims liability for errors or omissions in such information and materials.

US Investors

Our funds are not available for distribution to or investment by US investors. The funds are not registered under the United States Securities Act of 1933 or the United States Investment Company Act of 1940. Therefore, we cannot directly or indirectly offer or sell them in the US, in any of its states, territories, or possessions, in other areas subject to the US’s jurisdiction or to a US individual.

For those investors investing on behalf of an underlying investor

We will treat you as an investor who generally invests on behalf of underling clients.  It is your responsibility to provide the most recent KID to the underlying client for each investment you make on their behalf.

Applicable law

Dutch law applies to this disclaimer.

Privium Fund Management (Singapore) Pte. Ltd.

The information on this website is intended for Professional Investors / Accredited & Institutional Investors / Qualified Investors only.

The content on the website is for information purposes only and does not constitute an offer or solicitation to buy or sell an investment or fund(s) and is not an advice on investments, taxation or any other matter. It is not intended to be used by any person or entity in a jurisdiction or country where this would be contrary to local law or regulation. The information on this website does not constitute any investment, tax, legal or other advice and has not been reviewed by the Monetary Authority of Singapore. Privium Fund Management (Singapore) Pte. Ltd. does not warrant the accuracy, adequacy or completeness of the information and materials contained on this website and expressly disclaims any liability for errors or omissions in such information and materials.

Investors should further perform their own due diligence and read the Fund Documents in detail. Past performance is not indicative for future results. The value of investments and any income generated may fluctuate and is not guaranteed.

Privium Fund Management (HK) Ltd.

The information contained herein this website is only for Professional Investors as defined under the Hong Kong Securities and Futures Ordinance.

The information has been prepared for informational purposes only and does not constitute a distribution, an offer to sell or solicitation of an offer to buy any services or products offered by Privium Fund Management (HK) Limited. Privium Fund Management (HK) Limited believes that the information contained herein is accurate as at the date of publication, but no representation or warranty, expressed or implied, is made to the accuracy, completeness or thoroughness of the contents itself. No warranty of accuracy is given and no liability in respect of any errors or omissions is accepted by Privium Fund Management (HK) Limited.

The materials on this website do not consider the particular needs of any specific user. The information available on this website does not constitute any investment, legal, accounting, tax or other advice, nor a representation or recommendation that any financial service and/or investment is suitable for any person. Visitors should not rely on the information provided and should consult his/her own professional adviser before making any investment or financial decision or purchasing any product where necessary.

Investment involves a certain level of risk and past performance does not predict future outcomes. Visitors should carefully consider whether any investment products or services are appropriate for themselves in view of their investment experience, objectives, financial resources and relevant circumstances.

Professional Indemnity Insurance

Privium Fund Management maintains adequate Professional Indemnity Insurance coverage across the group globally.

本网站仅将cookies用于分析目的. 阅读更多