Product Development: Accounting
Morgan Stanley Fund Services is a wholly owned subsidiary of Morgan Stanley, administers over $540 billion of hedge fund assets. Using the firm’s proprietary, globally accessible technology platform, the business provides a full range of fund administration services, including daily accounting and financial reporting; transfer agency and investor services; middle and back-office support; and integrated portfolio analytics. Morgan Stanley Fund Services is supported by more than 1,000 professionals based in New York, London, Dublin, Glasgow, Mumbai, Bangalore and Hong Kong.
Position Title: Product Development: Accounting
The Product Development team within Morgan Stanley Fund Services (MSFS) works with the business to establish the overall strategy and priorities for the technology products and platforms. Based on the business strategy and overall priorities, the Product Development team creates product plans including high level business requirements, cost analysis, benefits definition and an overall go to market rollout plan.
The candidate will work closely with the business unit to manage and implement the direction and priorities of the overall accounting platform. This candidate will be responsible for facilitating and gathering detailed user requirements for the development teams, facilitating design reviews with the business and manage the overall rollout plans including QA, user testing, staff training and final delivery. This role also includes being the first line of user support for products, track client issues and works with business to prioritize post implementation issues and enhancements requests. This candidate will have to coordinate between the business, development teams across multiple global locations.Qualifications
- Knowledge of accounting concepts and terminologies
- Perform root cause analysis of common discrepancies between client and broker's instructions
- Strong communication and project management skills
- Comfortable interfacing with executive management, business users and development teams in multiple locations
- Experience in managing system roll outs, data conversion and integration projects
- Should be detailed oriented and must have strong analytical and problem solving skills
- Ability to work as part of a focused globally distributed team.
- Promote a culture of high performance and continuous improvement with a commitment to quality
- CA preferred
- Technical knowledge of hedge funds accounting concepts (valuation, reconciliations, OTC’s etc)
- Implementation of fund terms, with a working knowledge of accountancy principles.
- Fund administration / Fund accounting experience
- Strong OTC/Derivatives knowledge
- Prior experience in a Hedge Fund Administrator is a plus
- Needs to be comfortable with Microsoft office: Outlook, Excel, Word, PowerPoint, Visio, Project, Share point, Access
For further information, and to apply, please visit our website via the “Apply” button below.