ResponsibilitiesDay-to-day operational activities for Investment Trust funds to make sure that daily fund NAVs can be calculated and published timely.Complex problem solving with effective communication to both local & overseas business stakeholders.Oversee key vendor's services and offshore team's services to ensure our operational capability and quality required.Engage in various project as subject matter expert to drive strategic/transformational changes. QualificationsAt least 2-3 years experience in operation role (e.g. Trade Support / Fund Accounting) at asset management company or trustee banksPreferably have knowledge and work experience using systems of asset management operation (i.e. T-Star, FAIMS, CTM etc.)Undergraduate or higher degreeBusiness level English / native level JapaneseStrong desire to build career in asset management middle/back office areaGood communication skill