As a member of the Fund Accounting team, this position is responsible for the following: Record and reconcile all portfolio and fund activity for assigned clients. Calculate the fund’s NAV adhering to industry standards and internal procedures. Allocate profit and loss to investors including the calculation of management and performance fees. Process and record fund expense payments and ensure cash wire requests are completed accurately and timely. Generate and deliver fund and investor reports to fund managers and investors of assigned clients. Prepare and deliver supporting materials as necessary for board meetings, financial statements and audit and regulatory requests related to assigned clients. Communication with internal and external entities to ensure best in class service levels; build relationships of cooperation. Review fund’s net asset value (NAV), investor statements and other work prepared by accountants for completeness and accuracy measuring against industry standards and internal procedures. Mentor, train, and support fund accountants. Assure fund accounting tasks are completed accurately and timely.
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Job Type
Full-time
Career Level
Mid Level