Accurately review and sign off NAV calculations, lead system enhancements and procedures, and provide feedback to stakeholders.
Previous fund accounting experience or relevant operational/accounting experience preferred. Detailed knowledge of Enterprise and related Fund Accounting applications preferred.
Strong communication, first-class presentation, and internal and external client-servicing skills. Demonstrates willingness to help others outside team. Good prioritization, multi-tasking, and problem-solving skills with ability to think creatively.
Third-level qualification or pursuing a professional accounting qualification an advantage but not required.