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Work on various legal projects at the direction of the Compliance and Legal function.
Drafting, revising and negotiating contracts and agreements in respect of our fund business (fund prospectus, investment management agreement, service agreement, ISDA and other trading agreement, distribution agreement...etc.).
Follow-up and advising on the legal and regulatory developments in relation to the fund business (including US SEC, Cayman Islands, EU and EEA...etc.).
Prepare and collate various types of policies and providing support to the Chief Compliance Officer in the performance of regulatory functions as necessary.
Communicating with external lawyer/counsel to build relationships, find solutions and best represent Company's business interests.
Strong academics - Law degree or equivalent.
At least 5+ years with legal/compliance related experience in international financial institution legal or documentation department or international law firm will be given first consideration.
Prior experience of financial markets and products ideally derivative products is desirable.
Detail oriented with excellent analytical and project management skills.
Excellent communication and interpersonal skills.
Fluent in English writing and strong negotiation skills.
Able to prioritize a busy workload in line with business goals.
The role can be based in either Hong Kong and Taipei.