This role is responsible for preparing daily reconciliations of positions and trades, collaborating with prime brokers to resolve trade breaks, handling monthly reconciliations of tri-party positions, cash, market values, and accruals, preparing performance estimates for COO clients, reviewing monthly Administrator NAV packages, updating portfolio accounting systems, maintaining fund accrual schedules, and processing corporate actions. The position also serves as a point of escalation for complex issues.
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Job Type
Full-time
Career Level
Senior