The Taiwan Fund Administration team perform varied key operational and regulatory functions, responsible for the fund accounting and fund administrative service of the Taiwan organization. Products cover the full range of the firm’s ever-growing investment capabilities, including Fixed Interest, Equity, as well as Alternative Investments, Blend, Multi-Asset strategies, with an expanding range of derivative content. We oversee the day-to-day Net Asset Value calculation as well as the regulatory and client reporting requirements as required on a product-by-product basis. The candidate should have a proficient knowledge of mutual fund accounting. The job requires knowledge of tax issues, Taiwan regulations, financial reporting and the use of spreadsheets. It also requires excellent analytical skills, communication skills, organizational skills, problem-solving skills and experience in Fund Administration management. The knowledge and skills required are acquired through experience in the mutual fund industry. The candidate should demonstrate proficiency in standard desktop applications (excel, word, outlook, etc.). There are extensive relations with many functions of the AllianceBernstein business, notably Investment Management, Product Development, Legal & Compliance, Marketing, Internal Audit, Transfer Agency, Corporate Accounting, as well as other departments within Global Operations and Information Technology.