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Assist the team’s primary contact to client on daily operational, issue discussion and any other requests
Preparation of Net Asset Value calculations as per service level agreement, including but not limited to fee amortization and accruals, financing accruals, management and performance fees computation
Preparation of wire payments
Ensure consistent deliverables to ensure high SLA compliance within set accuracy standards
Assisting your manager and/or seniors on new client onboarding
Prepare investor capital activities, annual financial audits and other statutory reporting
Address and/or escalate all material issues affecting the NAV production process or client relationship to your manager in a detailed and timely manner
Resolve issues/queries raised by clients in a timely manner and maintain a high level of client satisfaction
Building and maintaining relationships and working closely with Krypton internal functions, clients and other professional parties
Ensure adherence to applicable best practices policies and client specific agreements
Requirements:
A bachelor’s degree in Account or Finance or equivalent professional qualification
At least 1 years of experience in Financial Services, particularly fund accounting experience in the fund administration industry
Proficient in the use of Microsoft Office (Excel, Word, Outlook)
Proactive, detail oriented, and able to identify and resolve issues independently
Able to communicate professionally both written and verbally
Organized, able to multi-task, and work under pressure to meet deadlines in a team environment