Handle and manage projects to support all offshore funds initiatives including new funds registration and product management initiatives for existing offshore funds (e.g., fund merger, change on fund pricing and etc).
Coordinate with offshore fund management company, external lawyers and Taiwan regulators to prepare filing documents for funds registration and lifecycle management initiatives.
Respond to regulator’s questions in a timely and professional manner to closely track the approval progress.
Coordinate with internal stakeholders to ensure all offshore fund initiatives can be implemented within Taiwan smoothly.
Maintain offshore funds product offering documents/ forms to in line with Taiwan regulatory requirements.
Maintain and manage the product data master files and system for newly established Luxembourg share classes.
Develop and manage projects to support strategic product initiatives.
Additional duties as requested or assigned.
Requirements
Minimum 5 years of relevant experience within the Taiwan funds industry; less years of experience may be considered as Associate.
A keen eye for details, particularly in written documents.
Good skills on Microsoft Office including Excel, Word and Presentation.
Good data analytical skills to resolve issues.
Need to work efficiently under pressure and remain flexible to changes.
Fluent in both spoken and written English.
Professional license: SITCA License, or Senior Brokerage License is a must.
Benefits
Balanced work environment: A dynamic office culture that supports flexibility and collaboration
Secure your future: Access to pension, retirement, and/or savings plans as applicable to the work location
Shared success: Company share purchasing plan
Support for what matters: Mental health and wellbeing programs
Investments in your career: Career opportunities within the entire Allianz Group
Investments in your skills: Comprehensive learning and development offerings, including certifications and professional qualifications