As an Associate in the Hedge Fund Accounting team within JPMorgan Alternative Fund Services, you will manage client allocation and workflow, motivate staff, and ensure all fund accounting functions are performed on a timely basis. You will maintain relationships with internal departments, streamline operational processes, and report to senior management. You will also participate in special projects and oversee the development and execution of fund accounting procedures.
Job Responsibilities
Manage and take responsibility for client allocation and workflow for teams you are responsible for, and motivate staff including team leaders.
Plan and monitor activities to ensure all fund accounting functions are performed on a timely basis, meet quality standards, and clients receive premium service.
Review and maintain relationships with internal JPM departments and review daily controls, communicating any new training or procedural changes to your teams.
Streamline operational processes to reduce risk, improve efficiency, and take ownership of issues, escalating where relevant.
Report to senior management, MIS, and address ad hoc issues that may arise. Involve yourself in presentations to potential clients in conjunction with the sales team, and remain informed of applicable regulatory changes and new industry developments.
Participate in special projects, develop goals, and execute strategies within the department, along with other duties as directed.
Oversee, create, maintain, and update procedures, including analysis, design, and execution of all aspects of the Fund Accounting Operating model.
Required qualifications, capabilities and skills
Preferred qualifications, capabilities and skills
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