Officer, Fund Accounting Analyst managing daily NAV production, ensuring client satisfaction and operational efficiency. Collaborating with cross - functional teams and enhancing service delivery standards.
Officer, Fund Accounting Analyst managing daily NAV production, ensuring client satisfaction and operational efficiency. Collaborating with cross - functional teams and enhancing service delivery standards.
Revenue Accounting Manager at TiDB contributing to scalable revenue processes and month - end financials. Collaborating with cross - functional teams to enhance global revenue operations.
Fund Accounting Intermediate Analyst - Valuations role at Citi in Kuala Lumpur overseeing fund activities. Focused on accuracy in NAV calculation and employee training while managing compliance and risk.
Officer, Fund Accounting Supervisor overseeing fund accountants and ensuring accurate NAV reports. Managing client relationships and leading operational improvements with a focus on compliance.