The UMB Registered Fund team manages the daily accounting, tax, audit, administration, and operational tasks for mutual fund and collective trust clients. As the Fund Accountant I, you are responsible for all functions related to the daily calculation of the net asset value for multiple mutual funds, as well as performing the accounting, pricing, review, and reconciliation functions for multiple funds such as U.S. and Foreign Equities, Bonds, and Simple Derivatives. As you continue to grow in this role, you can start handling more complex funds such as Advanced Derivatives, Bank Loans, and Private Credit. Handling these fund types can lead into becoming a Fund Accountant II and Fund Accountant III.
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Job Type
Full-time
Career Level
Entry Level
Industry
Credit Intermediation and Related Activities
Education Level
Bachelor's degree
Number of Employees
1,001-5,000 employees