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Fund Operations Specialist

You will run fund back-office and middle-office activities, including NAV review, subscriptions and redemptions, investor reporting, and fund-accounting oversight. You will manage external providers, support overseas investment-manager licensing and filings, monitor regulations, strengthen operational controls, and coordinate KYC/AML and due diligence for fundraising.

Responsibilities

  • Oversee fund operations including NAV calculation and review, subscriptions and redemptions, investor reporting, and fund-accounting oversight
  • Manage fund administrators, auditors, legal counsel, and banking partners
  • Support establishment, licensing, and regulatory filings for overseas investment-management entities
  • Monitor regulatory developments and assess their impact on fund structures and operations
  • Build and improve operational controls, workflows, and documentation
  • Support fundraising through investor onboarding, KYC/AML coordination, and due-diligence responses

Requirements

  • 2+ years of fund-operations experience at a global asset-management firm
  • Hands-on experience establishing and registering a licensed investment manager in an overseas jurisdiction
  • Working knowledge of regulations across major fund jurisdictions
  • Professional written and verbal English fluency

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