Summary
This role is within a fund administration team focused on supporting mutual funds and other '40 Act investment vehicles. The position involves expense oversight, financial reporting, reconciliations, and core operational support within fund accounting processes.
It requires prior hands-on experience in mutual fund or ETF accounting, including NAV calculations, expense allocations, and financial reporting. The role also provides exposure to cross-functional teams, senior stakeholders, and initiatives aimed at improving automation and operational efficiency.
Key Responsibilities
Requirements