Job Description
- Accurate and timely production of the Net Asset Value per unit that’s is used for Investor deals and external publication
- Analytical view of each portfolio to determine and validate the positions/trades that cause the largest impact on the NAV movements and investigate accordingly
- Ensure all positions are priced accordingly
- Verify corporate actions have been processed accurately
- Processing of periodic fund distributions
- Detailed daily/monthly review of funds
- Liaise and assist with audit queries on annual financial accounts
- Perform and review daily cash, manager and counterparty position and MV reconciliations
- Co-ordinate with other departments on miscellaneous fund queries and reconciliations
- Liaise directly with clients, ensuring a consistently high standard of service
- Training of new staff
- Proactively manage daily reconciling items using appropriate internal and client escalation controls
- Processing of accounting transactions on valuations system
- Review of all processes with a view to streamlining and creating efficiency
We offer an exciting, fast-paced and diverse working environment with employees of many different nationalities. We provide benefits to help you protect your health and financial security; and give you peace of mind. We also invest in your career growth with development resources that give you the opportunity to stretch and shine.