Oversee end-to-end fund operations: NAV calculation and review, subscription/redemption processing, investor reporting, and fund accounting oversight
Manage external service providers including fund administrator, auditor, legal counsel, and banking partners
Support the establishment, licensing, and regulatory filing of investment management entities in overseas jurisdictions (e.g., Cayman Islands, BVI, Hong Kong, Singapore)
Monitor regulatory developments across relevant jurisdictions and assess their impact on fund structure and operations
Build and improve operational controls, workflows, and documentation to institutional standards
Support fundraising operations including investor onboarding, KYC/AML coordination, and due diligence responses as part of the BD team