
Job Description:
What you'll do:
- Accountability for work product of the team - daily trade, position, Swap MTMs, and cash reconciliations to the prime broker / custodians / administrators as well as all income / expense accruals, in addition to overseeing timely reconciliations and settlements of OTC products.
- Playing an active oversight role in day-to-day operations, escalation of aged breaks, business-as-usual troubleshooting, and setting direction and goals for individuals, working with client teams on various queries and escalations.
- Coordinating with investment managers, prime brokers, and administrators to resolve day-to-day exceptions, as well as developing more strategic initiatives.
- Liaising with other internal functions like pricing, middle office, and collateral management to resolve discrepancies and/or respond to internal queries.
- Assisting the team and playing a review role for the accounting close (monthly / bi-weekly); providing adequate support for outstanding breaks and preparation of the month-end binder.
- Working with teams in New York and locally to define strategy and new projects, including prioritizations.
- Providing assistance to auditors and fund administrators during the audit and NAV finalization process.
- Working with technology teams as needed to support process improvements and automation initiatives.
What you'll need:
- MBA (Finance) / CFA / CA or any other equivalent qualification.
- 9 - 12 years of work experience in fund accounting.
- In-depth domain / finance knowledge; attention to detail; ability to work with minimal supervision; and experience managing high performers.
- Drive to enhance the efficiency of processes.
- Strong project management skills and effective managerial ability.
- Strong communication and collaboration skills.
- Proficiency in MS Excel.
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