Join a growing fund administration team as a Fund Accounting Operations Analyst and play a key role in supporting the expansion of this strategic service area
The Role
Support the delivery of accurate valuations and accounting records for a diverse portfolio of offshore funds and related entities
About You
The Reward
The Role
Support the delivery of accurate valuations and accounting records for a diverse portfolio of offshore funds and related entities
- Improve and maintain internal control environments to ensure efficiencies and compliance with accounting standards, regulations and fund documentation
- Problem solve and develop solutions for complex accounting and technical scenarios
- Build strong client relationships through expert, efficient and value-added service
- Assist global jurisdictions with accounting and administrative tasks
- Prepare financial statements for fund clients across multiple jurisdictions
- Support global jurisdictions with billing, regulatory reporting and ad-hoc requests
About You
- Qualified accountant ideally with experience auditing collective investment schemes and valuing investments
- Knowledge of regulatory and compliance requirements for collective investment schemes
- Understanding of investments including derivatives and structured products
- Familiarity with fund accounting systems and automated data uploads
- Excellent written and verbal communication skills
- Proactive with strong organisational and time-management abilities
- Ability to meet deadlines and prioritise effectively
- Personal qualities including integrity, confidence, adaptability, discretion, emotional resilience and a positive can-do attitude
The Reward
- Competitive salary
- Performance-driven bonus
- Comprehensive flexible benefits package
- Training and career development opportunities
- Opportunity to contribute to the evolution of business processes in a growing team