Job Description
Our client, an established service provider is looking for a Client Servicing Associate/Manager to provide support to their alternative assets client. This role is based outside of Malaysia.
Job Responsibility
- Establish and nurture a strong rapport with Investment Managers, brokers, auditors, and other fund participants by addressing their inquiries and providing NAV-related reports through phone and email.
- Actively recognize and comprehend client needs, and collaborate internally to meet those requirements.
- Offer solutions and coordinate assistance to address client concerns.
- Support the client migration process and assist with onboarding new businesses or clients.
- Engage in additional special projects or tasks as needed.
Job Requirements
- Min Bachelors in Finance or related
- Ideally min 3 years of audit/fund accounting experience with funds industry