Fund Accounting Manager

U.S. BankTempe, AZ
$98,175 - $115,500Hybrid

About The Position

U.S. Bank Global Fund Services is seeking a future team member for the role of Fund Accounting Manager to support our Fund Accounting team. This role has multiple levels, open to candidates with 5 years minimum experience. The successful candidate will be hired for the level of the position that aligns with their experience. As a Fund Accounting Manager you will be part of a team responsible for maintaining the general ledger and records of mutual funds, exchange-traded fund, local government investment pools and closed-end funds of varying complexity and producing end of day net asset value calculation. You will prepare daily general ledger accounting, prime broker/bank cash reconciliations, advisor/portfolio management processing, corporate action application, expense accrual/payment postings, daily net asset value and mill rate determinations, portfolio pricing analysis/validations, timely internal/external information distributions, portfolio reconciliations, etc. You will partner with various internal/external administrators, transfer agencies and prime brokers/custodian relationships collaborating on compliance, audit and financials, while ensuring all Fund Accounting functions are in compliance with SEC regulations and GAAP principles.

Requirements

  • Bachelor's degree in accounting or finance, or equivalent work experience
  • Five or more years of experience in accounting or finance activities
  • Proficient computer navigation skills using a variety of software packages including Microsoft Office applications

Nice To Haves

  • Experience working with exchange-traded funds, mutual funds, etc.
  • Previous Fund Accounting experience, specifically with ETF basket processing experience
  • Thorough knowledge of accounting, reporting, and analysis
  • Ability to identify and resolve exceptions and to analyze data

Responsibilities

  • Maintaining the general ledger and records of mutual funds, exchange-traded fund, local government investment pools and closed-end funds of varying complexity
  • Producing end of day net asset value calculation
  • Prepare daily general ledger accounting
  • Prime broker/bank cash reconciliations
  • Advisor/portfolio management processing
  • Corporate action application
  • Expense accrual/payment postings
  • Daily net asset value and mill rate determinations
  • Portfolio pricing analysis/validations
  • Timely internal/external information distributions
  • Portfolio reconciliations
  • Partner with various internal/external administrators, transfer agencies and prime brokers/custodian relationships collaborating on compliance, audit and financials
  • Ensuring all Fund Accounting functions are in compliance with SEC regulations and GAAP principles

Benefits

  • Healthcare (medical, dental, vision)
  • Basic term and optional term life insurance
  • Short-term and long-term disability
  • Pregnancy disability and parental leave
  • 401(k) and employer-funded retirement plan
  • Paid vacation (from two to five weeks depending on salary grade and tenure)
  • Up to 11 paid holiday opportunities
  • Adoption assistance
  • Sick and Safe Leave accruals of one hour for every 30 worked, up to 80 hours per calendar year unless otherwise provided by law
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