Hedge Fund Accounting - Team Lead

Recruiter
State Street.
Location
Hyderabad, India
Salary
Not disclosed
Posted
23 Feb 2021
Closes
01 Mar 2021
Ref
R-658432
Contract type
Permanent
Hours
Full time
Experience level
Qualified accountant

RESPONSIBILITIES:

Undertake the following, with a goal of 100% accuracy, timeliness and completeness:
  • Calculate and validate a daily and/or weekly and/or monthly Net Asset Value (NAV) for your assigned funds
  • Assist and train others in your team with their NAV calculation and problem resolution
  • Design and implement operational efficiencies
  • Reconcile cash daily (no unresolved discrepancies)
  • Reconcile portfolio positions daily (including equities, bonds, swaps, options, foreign exchange, futures and other evolving derivative instruments)
  • Accrue income and expenses daily
  • Analyze and validate traders' profit and loss statement daily
  • Analyze and validate position market values daily
  • Post accounting entries to the general ledger daily
  • Review and validate the partner/shareholder allocation calculations, including management and incentive fee calculations
  • Research and resolve differences between accounting and trade entry systems daily
  • Lead/assist with month-end close process
  • Lead/assist with enquiries related to the annual audit
  • Lead/assist with periodic financial reporting for Hedge Funds (i.e. Statement of Assets and Liabilities and Statement of Profit and Loss)
  • Lead/assist with preparing other ad hoc financial reports as required
  • Review and understand the fund's offering memorandum and verify that the offering memorandum agrees to fund set up and ensure that ongoing operations adhere to offering memorandum details
  • DEVELOP RELATIONSHIP WITH:

  • Promote teamwork by training and coaching others
  • Align goals with supporting departments through ongoing communications
  • Communicate with global locations (U.S./Ireland/Canada/Poland) to maintain and improve best practice for operations and customer service
  • Customers through proactively understanding customer needs and finding solutions to non-standard customer queries
  • Customers and colleagues by developing superior industry knowledge (on accounting developments and new product types)
  • Investment advisors/managers through accurate NAV reporting and responding quickly to queries (with minimal supervision)
  • Prime brokers through accurate, complete and timely reconciliations and responding quickly to queries (with minimal supervision)
  • For further information, and to apply, please visit our website via the “Apply” button below.

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