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
Requirements:
Degree in Business or Finance related discipline
Minimum 2 years’ fund accounting background with experience in Alternative/Mutual funds
Ability to demonstrate supervisory and review experience with the daily reconciliation and NAV process
High level of numeracy skills
Good organisational skills and attention to detail
Excellent PC skills –knowledge of Microsoft Word and Excel
Self-motivated and proactive
Communicative with the ability to work well within a team