Vacancy Description
Your Day-to-Day:
· Oversee, review and approve NAV (Net Asset Value) calculations in line with quality standards and deadlines
· Manage day-to-day fund accounting activities for a portfolio of institutional clients
· Coordinate with internal teams (operations, reporting, risk, compliance) and external service providers
· Ensure accurate and timely responses to client, auditor and third-party queries
· Contribute to the implementation of new fund structures and investment products
· Drive continuous improvement of operational processes, with a focus on efficiency and risk reduction
· Monitor reconciliation breaks and ensure prompt investigation and resolution
· Ensure adherence to service level agreements (SLAs) and internal procedures
· Participate in client calls, operational reviews and governance meetings
· Support and guide team members through coaching, cross-training and knowledge sharing
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