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Legal Tech • Professional Services • Consulting • Financial Services
Supports the Investor Services Manager with fund client administration, investor KYC, AML and AEOI due diligence, FATCA/CRS reporting, onboarding, billing, investor register maintenance, transaction inquiries, dealing confirmations, reports, and statements. The role requires coordination with fund managers and investors across Cayman Islands, Singapore, and Hong Kong requirements, with strong Mandarin and English communication, attention to detail, and client service skills.
