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1 день назад

Fund Operations Specialist (Web3)

Тип работы
fulltime
Грейд
middle
Английский
c1
Страна
UK/Japan/SK
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Описание вакансии

TL;DR
Fund Operations Specialist (Web3): Running fund back-office and middle-office operations for a digital asset manager with an accent on NAV review, investor reporting, fund accounting, licensing, and regulatory filings. Focus on coordinating administrators and legal partners, strengthening operational controls, and supporting KYC/AML due diligence for fundraising.

Fund Operations Specialist

Company

Hyperithm Co., Ltd.

Conditions

3 days agoSenior Operations Jobs by Hyperithm Co., Ltd.

Hyperithm Co., Ltd. Hyperithm is a Tokyo- and Seoul-based digital asset manager. It conducts quantitative and proprietary crypto trading, manages institutional-focused investment strategies, and makes venture investments in Web3 companies. Series B Company intelligence Tokyo, JP Funding history Unknown Series B ($11M) Series B ($11M) Investors Hashed Coinbase Ventures Cocone Guardian Fund Wemade Tree Projects Hyperithm Vaults Yield Aggregator About Hyperithm Co., Ltd. Hyperithm Co., Ltd. is a digital asset management company established in 2018 and based in Tokyo, with a Korean subsidiary. It provides algorithmic and HFT market-neutral trading strategies, including cross-exchange, cross-chain, spot-futures, funding-rate, and yield-related arbitrage. The company serves corporate clients, high-net-worth individuals, and qualified institutional investors, and also invests in Web3 projects while providing strategic access to the Japanese and Korean markets. It is registered in Japan as an operator of Specially Permitted Businesses for Qualified Institutional Investors and advises a Cayman Islands-domiciled arbitrage fund. View jobs by Hyperithm Co., Ltd.

Skills

Aml Due Diligence English Fund Accounting Fund Operation Fundraising Investor Reporting Kyc Licensing Nav Regulation

About the Role

You will run fund back-office and middle-office activities, including NAV review, subscriptions and redemptions, investor reporting, and fund-accounting oversight. You will manage external providers, support overseas investment-manager licensing and filings, monitor regulations, strengthen operational controls, and coordinate KYC/AML and due diligence for fundraising.

Requirements

  • 2+ years of fund-operations experience at a global asset-management firm
  • Hands-on experience establishing and registering a licensed investment manager in an overseas jurisdiction
  • Working knowledge of regulations across major fund jurisdictions
  • Professional written and verbal English fluency

Responsibilities

  • Oversee fund operations including NAV calculation and review, subscriptions and redemptions, investor reporting, and fund-accounting oversight
  • Manage fund administrators, auditors, legal counsel, and banking partners
  • Support establishment, licensing, and regulatory filings for overseas investment-management entities
  • Monitor regulatory developments and assess their impact on fund structures and operations
  • Build and improve operational controls, workflows, and documentation
  • Support fundraising through investor onboarding, KYC/AML coordination, and due-diligence responses

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