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BPS Client Service & Support Representative Sr Lead

Permanent
Full Time
Other
Dublin, Dublin, Ireland
Job Description

This is a remote role. The Fund Accountant is responsible for a variety of daily and monthly tasks to service our clients.

Responsibilities
  • Process shareholder activity within allocation tables and reconcile to the TA platform
  • Prepare and reconcile cash and positions on a daily basis back to custodian, prime broker or third party
  • Prepare monthly GAV work paper package
  • Perform all month end reconciliations including cash, positions, market price, market value, and accrued interest/dividends to supporting schedules and Trial Balance
  • Assist with client onboarding which includes, but not limited to, loading of client's tax lots, cash balance and trial balance onto the accounting platform
  • Assist in year-end audit by providing backup documentation for sampling selected by client's auditors
  • Prepare expense budget analysis and perform expense calculations
  • Calculate net assets for partnerships and unitized funds, allocate profit and loss to each investor including new issue income, side pocket management fees, incentive fee calculations
  • Calculate and review fund returns
  • Coordinate the preparation and distribution of the investor capital statement
  • Process investor and shareholder activity
  • Perform AML/KYC checks on investors following company procedures and client instructions
  • Facilitate transaction settlements and wire transfers as required
  • Perform ad-hoc functions related to fund requirements
  • Ensure client month-end and reporting deliverables are satisfied
  • Work closely with clients to resolve inquiries and ensure client satisfaction
  • Work well in a team environment to achieve common goals
  • Cross-train on other daily functions
Education and Training
  • Bachelor's Degree required in Accounting, Finance or Economics
  • Minimum 3 years of previous middle office or fund accounting experience with a hedge fund or hedge fund administrator
  • Highly proficient with Microsoft software
  • Advanced Excel skills required
  • Knowledge of securities and fixed income assets
  • Working knowledge of accounting systems (Geneva, VPM) and partnership allocations
Skills and Abilities
  • Excellent analytical and problem-solving skills
  • Strong verbal and written communication skills
  • Excellent attention to detail
  • Ability to work independently and meet deadlines without constant supervision
  • Exercises independent judgment and multi-task oriented
  • Takes initiative and ownership of job responsibilities
  • Must be able to perform essential job duties accurately and timely
  • Must adhere to deadlines and targets given
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