- Reviewing the NAV’s of the funds and undertaking the associated tasks
- Support the oversight of our service providers by working with the team to resolve issues and help improve the service. Making sure issues are recorded accurately and escalating where appropriate to both internal and external stakeholders through to resolution
- Assist or lead projects on behalf of the team
- Ensure deliverables are managed to deadlines and in accordance with service level agreements (SLA)
- Calculation of fair value prices within approved guidelines and instructing these to the relevant internal and external partiesÂ
- Management of internal and external stakeholders ensuring all parties are briefed on any issues and proposed resolutionsÂ
- Attending and participating in monthly service calls with providers, this would include reviewing the key performance indicators (KPI’s) in advance and raising any discrepancies
- Reviewing distributions to ensure our calculations are in line with the fund administrators
- Reviewing sub-investment manager fees to ensure they have been calculated in line with the relevant agreementsÂ
- Taking part in due diligence meetings with the service providers.
- Experience of working within a NAV production / oversight teamÂ
- Team-player, with the ability to fit seamlessly into the wider team and work together to ensure the delivery of work of exceptional quality.
- A self-starter with experience or desire of working on projects within investment operations
- Ability to communicate with internal and external senior stakeholders.
- Have completed or studying towards the CISI IOC qualification. Or be willing to undertake this qualification.
- Excellent attention to detail and determination to see tasks through to completion within agreed timelines
- Strong Microsoft Office skills (especially Excel)
- Knowledge of different asset types and fund structures
- Willingness to learn and develop an in-depth knowledge of fund accountingÂ
- Previous experience of working with teams in different global locations
- Experience / understanding of currency hedging
- Prior experience of reviewing fund budgets
- Understanding of different regulations that impact UK, Ireland and European funds
- Experience leading on fund related projects