We are hiring for one of our clients, seeking a Law Clerk (Commercial Real Estate / Energy) to work on a contract basis. The role involves supporting legal teams in drafting, reviewing, and managing commercial real estate and energy-related documentation. Responsibilities include conducting legal research, preparing transactional documents, and ensuring compliance with regulatory requirements.
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Coordinate product development activities and sample submissions (Colour, Trim and Fabric), working closely with global vendor partners to ensure product requirements, approvals, and development timelines are met.
Partner with global vendors and the U.S. Product Creation team throughout the product development lifecycle to ensure alignment on product specifications, approvals, and key milestones.
Prepare, track, and ship product development samples, materials, and submissions for review and feedback, ensuring timely delivery and follow-up.
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Work closely with Tech Leads and Architects to translate delivery status into something the client can understand — without misrepresenting technical reality
Serve as the primary point of contact for international OEM clients and domestic fab customers across the Asia region
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Establish and enforce consistent full-stack development practices, ensuring code quality, maintainability, and security-first engineering (DevSecOps).
Conduct thorough code reviews and architectural audits, providing constructive feedback and ensuring adherence to performance benchmarks and .NET design patterns.
Drive technical strategy by using system metrics, scalability benchmarks, and industry trends to propose and implement changes that enhance platform reliability and developer productivity.
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Establish and enforce consistent full-stack development practices, ensuring code quality, maintainability, and security-first engineering (DevSecOps).
Conduct thorough code reviews and architectural audits, providing constructive feedback and ensuring adherence to performance benchmarks and .NET design patterns.
Drive technical strategy by using system metrics, scalability benchmarks, and industry trends to propose and implement changes that enhance platform reliability and developer productivity.
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Power Platform & Extensibility: Design appropriate use of Power Apps, Power Automate, Power BI, Copilot Studio, Dataverse, custom connectors, APIs, and Azure services where standard Dynamics capabilities need to be extended.
Integration & Data Architecture: Define integration approaches between Dynamics 365, telephony services, customer platforms, data sources, reporting services, and wider enterprise systems, ensuring resilient and maintainable designs.
Governance & Best Practice: Establish solution design standards, review low-level designs, support fit-gap analysis, manage technical risks, and ensure adherence to Microsoft implementation guidance and platform best practices.
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Interact with several internal groups to resolve client issues. This can include the trading desk, brokerage operations, sales team, solutions team, customer success team, engineering, and product teams.
Assist customers with basic technical requests, including API usage questions, platform navigation, workflow guidance, and troubleshooting support.
Support ad hoc projects and operational initiatives as assigned by management
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Work closely with Product Leads, CMO and Legal to launch new programs and revise existing programs to continuously deepen market liquidity while meeting budget constraints and business objectives
Manage the rollout of any new program revisions, which includes socialising the new program parameters with participants before revising the program rules with legal, and then formally rolling out the new program on an agreed date
Monitor market maker performance against program requirements (eg. Max Spread, Min Quantity, Min Volume thresholds etc)
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Account Reconciliation: Regularly reconcile bank statements with internal records, identify discrepancies, and coordinate corrections as needed.
Assisting Month-End and Year-End Close: Support the accounting team in closing financial periods by compiling supporting documents, preparing necessary schedules, and ensuring all relevant transactions are captured.
Maintaining Ledgers: Update and maintain the general ledger and subsidiary ledgers for accounts payable, accounts receivable, fixed assets, and inventory.
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