Jobs in Poland
Broaden your search
- Fund accountant, Banking and financial services, Poland 56
- Fund accountant, Banking and financial services, Permanent, Europe 223
Refine your search
-
Fund accountant
Remove selection
-
Banking and financial services
Remove selection
-
Permanent
Remove selection
- Full time 54
- Entry level 2
- Newly qualified 2
- Qualified accountant 35
- Manager 12
- Director 2
Found 54 Fund accountant, Banking and financial services, Permanent jobs
-
Middle Office Business Analyst
Plan and schedule validation tasks; provide hands-on manual tests; develop verification plans and processes.
New
-
Fund Accountant- AIS Private Equity & Real Assets, Associate 1
Comparing and confirming account balances per trial balance to account balances per subsidiary ledgers, researching any discrepancies.
New
-
Fund Accounting Supervisor
A Fund Accounting Supervisor is required to execute the following tasks within the fund accounting department.
New
-
Investor Services Specialist, Associate 1
Processing investors transactions. Generating investors and clients reporting.
New
-
Portfolio Accounting Manager
Ensure the assigned team operates within the clearly defined and documented control environment.
New
-
-
Fund Accounting Assistant Manager
Ensure all aged items on cash and position reconciliations are resolved timely.
New
-
Investor Services Supervisor
Review AML/KYC, FATCA/CRS documentation provided by investors and follow-up where necessary. Escalate to Manager and MLRO where required.
New
-
Private Equity Senior Fund Accountant
Calculate and process capital calls, capital distributions and statements for closed-end funds.
New
-
Senior Investor Service Specialist, Associate 2
Demonstrate timely and accurate process at all times in accordance with deadlines, operating procedures and legal regulations.
New
-
Fund Accounting Vice President
Participate in new client meetings, demonstrating HedgeServ software, discussing complex accounting topics and outlining HedgeServ’s solution.
New
-
Manager in Client Service & Fund Accounting Team in Alternative Investments (AVP)
Monitoring and managing the team to ensure quality of fund’s activities and transactions booked in the accounting system.
New
-
Italian Speaker for Financial Roles, Associate 1
Make sure any client’s instruction as well as discrepancy is monitored and resolved professionally.
New
-
ETF Business Analyst
Identify gaps in current products/solutions and participate in creating new solutions to fill these gaps.
-
Tax Specialist- EMEA Tax, Associate 1
Performing tax calculations (with the tax accuracy goal being 100%) in accordance with agreed deadlines.
-
IT PMO / Project Portfolio Coordinator
Coordinate budgeting process for the departments and allocate funds and resources to products and projects for the next year.
-
Fund Accountant with German Language Proficiency (Hybrid), Associate 1
Resolving review points highlighted by senior fund accountants and team supervisor and ensure they are kept informed of progress.
-
Fund Accountant - AIS NAV, Associate 1
Preparation of daily cash, position, and market value reconciliations including trade capture and pricing.
-
Financial Reporting Supervisor (Alternative Investments)
Managing the preparation of financial statements for BBH clients in cooperation with relevant departments.
-
Vice President, Fund/Client Accounting Manager II
Provides oversight for multiple small teams or one large team of Accountants responsible for conducting accounting services.
-
Fund Accounting Senior Analyst (Hybrid)
Monitor the work activities to ensure timeliness and accuracy of the funds activities in a department, including calculation of NAV.