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AVP Fund Services Operations

  • HSBC Group
  • Bangkok, Thailand
  • THB 2,500,000 – THB 3,500,000

Responsibilities:

  1. Investment Restrictions Monitoring
  • Review portfolio holdings, exposures, derivatives, counterparty and concentration limits, eligible asset rules, etc (as relevant to the fund type).
  • Validate restriction rule coding/parameters in monitoring systems and ensure rules reflect the latest prospectus and regulatory requirements.
  1. Breach Management & Escalation
  • Perform daily/periodic monitoring of investment restrictions

  • Investigate alerts and determine whether they represent true breaches, near-breaches, or false positives (data/market movement/system issues).

  • Classify breaches (e.g., active vs passive; pre-trade vs post-trade; regulatory vs prospectus; materiality assessment).

  • Coordinate timely remediation actions with the Investment Manager/Portfolio Management team and other stakeholders.

  • Maintain breach logs, evidence, root-cause analysis, and closure documentation.

  • Escalate breaches in line with governance requirements to senior management, risk/compliance, depositary/trustee (where applicable), and relevant committees.

  1. Prospectus & Regulatory Oversight
  • Interpret fund documentation and translate requirements into operational monitoring rules.
  • Support updates arising from prospectus changes, new sub-funds, strategy changes, or regulatory updates.
  • Participate in due diligence and oversight of delegated parties/service providers (e.g., investment manager, administrator, risk provider).
  1. Reporting & Governance
  • Produce periodic compliance monitoring reports (daily/weekly/monthly/quarterly)
  • Support fund boards/management company reporting packs and respond to ad-hoc queries from internal stakeholders and auditors.
  • Contribute to governance forums (e.g., breach committees, valuation/operational risk meetings) with clear, decision-ready summaries.
  1. Controls, Data Quality & Process Improvement
  • Perform reconciliations and reasonableness checks on positions, exposures, reference data, and corporate actions impacting restrictions.
  • Identify control gaps and drive process improvements/automation to reduce manual effort and operational risk.
  • Support UAT/testing for system enhancements, rule changes, and new fund launches/migrations.
  • Maintain procedures, desk instructions, and control documentation aligned to operational risk standards.
  1. Stakeholder Management
  • Act as a key point of contact in relation to Fund investment monitoring to both internal stakeholders/clients.
  • Communicate clearly and professionally with cross-border teams; manage timelines and expectations during breach events.

Qualifications:

  • Bachelor's degree in Economics, Finance, or other related fields.
  • Knowledge in securities services business and SEC rules and regulations
  • Strong understanding of fund structures and documentation (prospectus)
  • Knowledge of investment instruments (equities, fixed income, FX, derivatives, funds, structured products) and how exposures are calculated.
  • Excellent interpersonal skills and a desire to work in a team-oriented environment
  • Fluency in both Thai and English is preferred.

Skills

  • Investment Compliance Monitoring
  • Regulatory Compliance
  • Fund Administration
  • Risk Management
  • Derivatives
  • Prospectus Interpretation
  • Stakeholder Management

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