金融 > アセットマネジメント
金融 > 金融事務（業務・管理）
As a member of Operations & Client Reporting Department, this individual is responsible for hands on processing of following Operations responsibilities: * Trade Processing, Trade enquiry management for trades executed in US and in Japan. * New client onboarding. * Cash & Position reconciliation enquiry management with global system, Trust Banks, Global Custodians, Overseas Brokers. * Close coordination with US Head Office counterparties (Operations and Investment Teams) * Derivative documentation support and liaison between Japanese trust banks and overseas offices. * Various system standing data setup coordination. * Operation related issue resolutions working with overseas offices. * Look to build efficiencies and suggest improvements to existing processes.
* Fluent in both written and spoken English. * Proactive leader as well as team player with hands on Operations experience. * Quick learner with intellectual curiosity and passion for learning new things. * Demonstrate strong organizational skills. * Ability to multi-tasking and deliver results. * Possess a good understanding of various financial products. * Strong partnering and interpersonal skills * Operations professional with foreign financial institutions is a plus. * Technical skills in data analytics for process improvement is a plus.