Responsible for performing daily reconciliations and ensuring the accuracy of derivative trade activity, valuations, and cash movements between custodians/prime brokers.
Serving as a key link between accounting operations, fund advisors, and external counterparties.
Working to maintain data integrity and support timely financial reporting and fund audit support.
Identifying and resolving reconciliation breaks, document processes, and contribute to ongoing workflow improvements that enhance efficiency and scalability as the business grows.
Requirements
Bachelor's degree in accounting or finance, or equivalent work experience
Two to four years of experience in accounting or finance activities
Strong analytical skills
Attention to detail
Ability to troubleshoot data discrepancies
Comfortable working under daily deadlines
Managing multiple priorities
Effective communication and collaboration skills
Basic understanding of Microsoft Office applications (Excel)
Benefits
Healthcare (medical, dental, vision)
Basic term and optional term life insurance
Short-term and long-term disability
Pregnancy disability and parental leave
401(k) and employer-funded retirement plan
Paid vacation (from two to five weeks depending on salary grade and tenure)
Up to 11 paid holiday opportunities
Adoption assistance
Sick and Safe Leave accruals of one hour for every 30 worked, up to 80 hours per calendar year unless otherwise provided by law