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Involved in managing a team
Good experience in calculating NAV- Net Asset Value
Responsible for ensuring fund deadlines met & accounting records maintained by working closely with Client & other departments over reconciliation of records & determining NAV of Hedge funds
Managing team of associates & senior associates in preparing month end NAV packs and financial statements
Reviewing daily PnL, Monthly NAV records, financial statements & other client specific Ad-hoc request
Reviewing and yearly reset of allocation to determine Class high water mark for performing Classes
Ensuring portfolio valuation is in line with valuation policy, governing documents and internal policies and procedures
Flagging off and reasoning of Manager Mark valuations and requesting Director’s signoff if valuation is material
Identifying operational issues and timely flagging off to the Manager
Ensuring feedback and response provided on queries raised by Client & Auditors.
Essential Skills:
Quantitative aptitude, Desire to learn, Hardworking, Positive Attitude, Team Player
Desirable Skills :
Knowledge of Financial Products
Prior exposure to hedge funds / accounting for financial instruments
Good experience in Fund Accounting
Good experience in Calculating NAV -Net Asset Values
Preferred Hedge Fund Accounting
Currently working as a Manager Fund Accounting:
Fund AccountingNet Asset ValueNAV
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