Reviewing NAV statements prepared by the fund administrators which includes; reviewing detailed fee calculations, individual position valuations, reconciliations and accruals.
Taking responsibility for the funds audits, liaising with the administrators and auditors as well as ensuring annual tax filings and other regulatory filing requirements are met.
Point-of-contact for multiple clients on daily operational level
Manage relationships with investment managers, brokers & custodians
Required Knowledge, Skills, and Abilities
You will need to have at least twelve months of experience in Fund Accounting.
You will need excellent interpersonal and customer service skills
Strong organizational and administrative skills
Ability to multi-task, priorities work and manage time to maximize efficiency and to meet strict deadlines
Strong oral and written communication skills
Fluency in English Language (both verbal and written) essential
Numerical degree or related field
Positive can-do attitude with excellent problem-solving skills