Assistant Controller will be responsible for providing the following to our CFO clients: Daily recording and reconciliation of clients' equity, options, foreign exchange and derivative positions with counterparties utilizing portfolio management accounting systems Coordination with Portfolio Managers and Counterparties to ensure timely settlement of all transactions Provide operational support for closed ended vehicles including Capital Call calculation, Deal closing support and Treasury Management Prepare performance summaries and risk metrics reporting for distribution to clients and investors Review client NAV's on a monthly basis or quarterly basis, including investor allocations, waterfall calculations and capital statements Research corporate actions and review against prime broker records Assist with Client Valuation and Expense policies Help prepare and coordinate payments to vendors across clients' funds and management companies Utilize Bloomberg to re-value client holdings Assist with internal projects and administrative duties. Assist with Year End Audit and Tax deliverables
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Job Type
Full-time
Career Level
Mid Level