The Fund Accounting Specialist is an entry level position responsible for assisting in a variety of fund valuation activities in coordination with the Operations - Transaction Services team. The overall objective of this role is to assist in the calculation of daily and periodic Net Asset Valuations (NAVs) for funds and the distribution of associated unit prices.
Responsibilities:
Complete activities relating to the accurate and timely delivery of valuations for defined clientsReview stock and cash reconciliations to ensure the exceptions noted have no NAV impact and items cleared are treatedAnalyze cause and suggest enhancements for recurring exceptions through review of reconciliations and analysis of NAVsAssist in ensuring the corporate actions are correctly reflected on the NAVAssist in the collection and analysis of relevant management information from an operational and client perspectiveAid in the ongoing dev...