As an UK Product Team – NAV & Valuation Oversight you will oversee and maintain a robust and efficient control model in an extremely dynamic environment, with principal focus on the daily NAV oversight process across our UK Fund Range (NAV review, portfolio valuation, swing pricing/factors, fair valuation requirements, interactions with fund managers, fund administrators/vendors).
Job responsibilities:
- Oversee fund accounting with a focus on managing the various product elements to include Fair Valuation, Swing Pricing and Securities Lending
- Support any ad-hoc fund related initiatives from a Fund Accounting / NAV perspective such as Fund launches / terminations, name and fee changes.
- Work collaboratively across locations and drive synergies with Asia / US / EMEA
- Chair/Join/Represent the business at various internal committees/forums.
- Understand and contribute to business strategy and ensure it is relayed to our vendors.
- Coordinate and manage issues which impact NAVs i.e., price errors.
- Review and provide feedback on fund documentation. i.e., Prospectus, KIID, Factsheets, Client letters
- Attend and contribute to monthly service reviews with Fund Accounting / Depositary and other key partners Own reviews of SLAs and KPIs as appropriate.
- Review and update procedures whilst consistently challenging to ensure maximum efficiency.
- Understand relevant industry changes and impacts on our business.
- Own reviews of SLAs and KPIs as appropriate
- Oversight of Investment Trust buybacks as required.
Required qualifications, responsibilities and skills:
- Knowledge of UK Funds industry – predominantly OEICs and Investment Trusts
- Knowledge and experience of valuation methodologies and techniques across various asset classes (e.g., fixed income, alternatives and equities) and complex instrument types (e.g., derivatives and structured products)
- Technical and business knowledge of various UK Fund structures and activities from an investment, operational, regulatory, accounting and financial reporting perspective
- Knowledge and experience across multiple asset classes (e.g., Fixed Income, Fund of Funds, Alternatives and Equities) and complex instrument types (e.g., Derivatives and Structured Products)
- Advanced user of Microsoft applications (Excel, Power Point, Word and Outlook)
- Management Reporting – prepare and review of required reporting to senior management, valuation committee, boards of trustees that highlight metrics on oversight results and analysis, regulatory requirements, escalation items and other relevant topics.
- Must be well driven and dynamic with an ability to build relationships both internally / externally.
- Proactive ‘can do’ attitude is vital.
- Commitment to continuous learning & willingness to challenge.
- Flexibility, strong organisational and time management skills are vital.
- Team player, ability to share best practices as well as ability to work individually.
- Strong analytical skills with aptitude to evaluate issues, propose and implement solutions.
- Excellent attention to detail.
- Excellent written and verbal skills; ability to communicate in a clear and concise manner in any format.
- Positive attitude to compliance, controls and risk mitigation