Head Of Tracking Funds
Current- Establishing the operation from scratch, while Reporting to the CEO and Board of Directors- Formulating strategies, methodologies, setting up policies as well as processes- Managing all Funds' financial related issues, such as cash flow, liquidity, securities, foreign exchange balance ($) & NAV calculations- Conducting on-going risk management, including market risks, credit risks and liquidity risks- Analyzing financial markets & economic trends, to identify investment opportunities - Conducting data analysis of a large-scale data of inflows / outflows, revenue, exposures & competitors - Conducting on-going presentations and reports to the Board of Directors and company's Stakeholders- Ensuring compliance in accordance with regulation requirements (SOX, documentation)- Working with strategic financial institutes, while conducting negotiations and constantly optimizing terms