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Job Description -
β’ Manage and lead a team of Fund Accountants responsible for NAV calculations, reconciliations, and reporting for a diverse range of investment products, including Equities, Fixed Income, Derivatives, and Hedge Funds.
β’ Ensure accurate and timely calculation of Net Asset Values (NAVs) for assigned funds, adhering to established policies, procedures, and regulatory requirements.
β’ Oversee the preparation and review of financial statements, investor reports, and other fund-related documentation, ensuring compliance with accounting standards and regulatory requirements.
β’ Collaborate with cross-functional teams, including Portfolio Managers, Traders, and Operations, to resolve complex accounting issues and ensure smooth fund operations.
β’ Develop and implement process improvements, automation initiatives, and best practices to enhance operational efficiency and accuracy.
β’ Manage and mentor team members, prov...