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The Senior Associate in BPO Trade Settlement will manage journal entries, bank reconciliations, and financial reporting for hedge funds. This role requires a strong background in finance and accounting, ensuring accurate processing of capital activities and cash management. The ideal candidate will be detail-oriented and capable of addressing client reporting needs effectively.
Job Responsibility:
Booking Journal Entries basis bank statements and client
Preparation of Bank Reconciliation and maintaining the respective financial logs
Prepare monthly financial reporting package for the Hedge Funds, including the determination of Net Asset Value and prepare the Statement of Asset and Liabilities and Profit and Loss Statement
Ensuring fund income and expenses, including management and performance fees, are accrued for and are in accordance with relevant accounting standards
Accurate and timely processing of all capital activities including calls and distributions, transfers, rollups, capital commitments and calls
Derive pricing for portfolio investments
Updating status reports
Cash Management-managing the daily cash flow of trades and monitoring fund cash-flows
Process incoming and outgoing cash movements related to capital activity
Reporting-preparing bespoke reports to address client requests
Independently complete cash, portfolio and capital reconciliations and investigate and resolve any discrepancies
Creation and maintenance of investor information including payment models and contacts
Requirements:
Strong background in finance and accounting
Detail-oriented
Capable of addressing client reporting needs effectively