Perform detailed analysis and problem resolution of complex fee calculations through understanding of performance attributes, portfolio returns, benchmark indices, market values, and cash flow data.
Maintain knowledge of Investment Management fee terms and structures for each account in order to concisely articulate each calculation with Investor Specialist and Client Service Managers while obtaining approvals to finalize fee calculations.
Manage the IM (Investment Management) fee client account workflow from onboarding, fee calculation, analysis, review, and invoice distribution
Identify automated fee calculation structures and develop UTs for manual calculation structures as required.
Develop relationships Client Service Managers and key offshore stakeholders to align with Fee Operations.
Interpret fee agreement language and understand the requirements before calculating an invoice
Development & maintain risk and control framework for performance fee calculations and required UTs
Identify automation opportunities and contribute to technology builds to create an industrialized support model for management fees.
As member of the team, you will also learn, manage, and have ownership for other areas of asset management fee types, analysis, calculations, and team functions.