SUMMARY The Intern, Fund Accounting will mirror the responsibilities of a Fund Accountant I and is responsible for the accurate and timely calculation of the Net Asset Value (NAV) for assigned funds of Ultimus Fund Solutions. KEY ACCOUNTABILITIES FUND ACCOUNTING Performs daily accounting functions for assigned funds to include calculating and delivering net asset values for various mutual funds. Updates and monitors daily trading, general ledger activity, and pricing of funds to ensure accuracy of daily NAV calculation. Ensures all fund transactions are properly posted to the accounting system. Applies accounting and finance principles to numerous asset types; primarily equity-like securities. Provides fund advisors with forecasted available cash for funds every morning in a quick and accurate manner. Performs special projects as assigned. FUND RECONCILIATION Reconciles fund records to custodian, transfer agent, and portfolio groups daily. Prepares and reconciles daily trial balances for assigned funds. WORKING RELATIONSHIPS Contact as needed with external business partners regarding general information, audits, inquiries, or reporting requirements. Collaborates with the Fund Accounting, Transfer Agency, and Middle Office departments, as needed. May perform other duties as required and assigned.
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Career Level
Intern