Interim Fund Accountant
Posted 1 day 1 hour ago by Mason Blake
Permanent
Not Specified
Other
London, United Kingdom
Job Description
Our client is a boutique investment management house. Due to a maternity cover, they are looking to recruit a Fund Accountant on a fixed term contract basis. The Fund Accountant will take responsibility for the following duties:
- Daily NAV calculation across multiple funds (OEIC's, Investment Trusts and Managed Accounts)
- Calculate expense accruals including management fees and performance fees on a daily basis
- Manage the monthly capital transactions process with the Transfer Agency team
- Reporting fund level information to senior management on a daily basis
- Dealing with administrators, custodians, execution brokers, auditors and other third-party providers
- Year end fund audits - working with auditors and administrators to prepare fund year-end financial statements
- On-boarding and implementation of new funds
- Cash and position reconciliations to third parties
- Income and expense processing and reconciliation
The Fund Accountant will meet the following skill set:
- Minimum of 3 years' fund accounting and operations experience
- Educated to a degree level (or equivalent) in a finance related subject
- Proven understanding of NAV calculations
- Strong working knowledge of Excel (ability to perform pivot tables and v lookups)
This is an exciting role for a junior Fund Accountant looking to join a small but growing investment management house.
If you believe your background meets the criteria, please apply with a copy of your CV.
NoteOnly successful candidates will be responded to.