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Investor Relations Manager

sora ventures Taiwan
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AI Summary

Manage relationships and communication with investors and portfolio companies. Draft and distribute fund performance updates. Own the communication calendar across investors and portfolio companies.

Key Highlights
Manage relationships and communication with investors and portfolio companies
Draft and distribute fund performance updates
Own the communication calendar across investors and portfolio companies
Key Responsibilities
Manage relationships and communication with the funds' investors and our 80-plus portfolio companies
Experience with digital assets
Draft and distribute fund performance updates: how the funds are tracking, what has changed, and what it means for investors
Own the communication calendar across investors and portfolio companies; every update goes out on time and accurate
Manage investor and portfolio company queries and follow-through end-to-end, coordinating with the Fund Controller for underlying figures
Produce and distribute LP reporting, including NAV statements, capital account statements, and fund summaries
Maintain investor and portfolio company records, documentation, and our in-house CRM to an audit-ready standard
Support fundraising and LP onboarding materials as needed
Technical Skills Required
English Microsoft PowerPoint / Google Slides Microsoft Excel / Google Sheets Microsoft Word / Google Docs
Benefits & Perks
Full-time employment
In-office at Taipei 101, Taipei, Taiwan
Open to international candidates: existing right to work in Taiwan is a plus, and we sponsor work visas for the right candidate
Nice to Have
Familiarity with fund documents (PPM, side letters, subscription agreements)
Familiarity with CRM systems
Fluent in Mandarin Chinese
Proficient exposure to digital assets or Bitcoin treasury strategy

Job Description


Investor Relations Manager

Manager level · Taipei · In-office at Taipei 101, full-time

Reports to: Chief Growth Officer

Travel: Under 10%

About Sora Ventures

Sora Ventures is a global digital asset investment firm that strategically invests in and operates publicly traded companies, primarily across Asia, while investing globally in venture, media, and financial platforms. We integrate disciplined digital asset strategies into the core of these businesses, supporting their transformation into modern financial platforms within local regulatory frameworks.

We are operator-led. Our principals hold board and executive roles inside the listed companies we back, so governance and treasury strategy are executed from the inside, not advised from the sidelines. Founded in 2018 and headquartered in Taipei, we work across the US, Hong Kong, South Korea, Thailand, and Vietnam.


About the role

We manage multiple funds across listed equities, venture investments, and strategic holdings, alongside more than 80 portfolio companies built up over years of investing. This role owns how we communicate with both audiences: the investors in our funds and the portfolio companies we work with. You manage those relationships, run the communication cadence, and follow through on every commitment. You draft clear updates on how the funds are performing and make sure they reach investors on time, turning financial detail into credible communication in the firm's voice. You use AI tools to produce documents at speed and to a high standard.


We are a lean firm and this is a hands-on operator role. You will carry out these duties yourself as an individual contributor. Apply only if you are comfortable owning the work directly, not delegating it.

This is an in-person role at our office in Taipei 101, Taipei, Taiwan. You are expected in the office Monday through Friday, 9:30am to 5:30pm. Open to international candidates: existing right to work in Taiwan is a plus, and we sponsor work visas for the right candidate.


Responsibilities
  • Manage relationships and communication with the funds' investors and our 80-plus portfolio companies.
  • Experience with digital assets.
  • Draft and distribute fund performance updates: how the funds are tracking, what has changed, and what it means for investors.
  • Own the communication calendar across investors and portfolio companies; every update goes out on time and accurate.
  • Manage investor and portfolio company queries and follow-through end-to-end, coordinating with the Fund Controller for underlying figures.
  • Produce and distribute LP reporting, including NAV statements, capital account statements, and fund summaries.
  • Maintain investor and portfolio company records, documentation, and our in-house CRM to an audit-ready standard.
  • Support fundraising and LP onboarding materials as needed.


What we're looking for
  • Native or full professional fluency in English.
  • 5 or more years in investor relations, fund reporting, or an LP-facing role at a venture, hedge fund, or alternative investment firm.
  • Comfortable operating as a hands-on individual contributor in a lean firm, owning the work end-to-end without support staff to delegate to.
  • Exceptional written communication and follow-through; nothing slips.
  • Able to translate financial detail into clear, credible investor materials.
  • Strong analytical skills: able to interpret fund data and synthesize it into accurate investor reporting.
  • Strong relationship management across a large base of investors and portfolio companies.
  • Fluent using AI tools for document production and output.
  • Strong critical thinking skills and the ability to work independently.
  • Proficient in email, Zoom, Microsoft PowerPoint / Google Slides, Microsoft Excel / Google Sheets, and Microsoft Word / Google Docs.


A plus
  • Familiarity with fund documents (PPM, side letters, subscription agreements).
  • Familiarity with CRM systems.
  • Fluent in Mandarin Chinese.
  • Proficient exposure to digital assets or Bitcoin treasury strategy.



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