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Associate Director – Hedge Fund Accounting

Associate Director – Hedge Fund Accounting

CompanySS&C
LocationBoston, MA, USA, South Orange, NJ, USA, Princeton, NJ, USA, New York, NY, USA
Salary$Not Provided – $Not Provided
TypeFull-Time
DegreesBachelor’s
Experience LevelSenior, Expert or higher

Requirements

  • Demonstrated track record of strong client management in the financial sector
  • Industry/Accounting Qualifications preferred (ACCA, CA, CAIA, CFA, CIMA)
  • Proven record of liaising with Audit firms
  • Experience with Hedge Funds or alternative investments including a range of structures
  • Solid understanding of operational risk and controls
  • Able to work well under pressure and provide solutions to complex problems
  • Clear and concise verbal and written communication in English
  • Strong interpersonal and client service skills
  • Intelligent, professional, confident and presentable
  • Ability to work independently and in a team under tight deadlines
  • Keen to learn and develop and lead by example
  • Maintain and display a high level of professionalism when dealing with clients, investors and colleagues
  • Proactive and positive approach to all challenges. Self-motivated and takes initiative
  • Strong people management skills: both locally and remotely
  • Excellent organizational skills
  • Project management experience and skills is advantageous
  • Word, Excel, PowerPoint, Outlook and Microsoft project

Responsibilities

  • Actively managing and contributing towards the service deliverables, including the production of a daily P&L reporting, Monthly NAV, and middle-back-office services to our client
  • Working with the client aligned service group to ensure all end to end service deliverables are met on a daily basis
  • Building partnerships with their clients and internal groups
  • Running projects to improve areas of the business
  • Ensuring that the services we provide allow the client to grow their business confident in our performance

Preferred Qualifications

  • A third level qualification preferred in a finance or business-related area
  • Knowledge of OTC product lifecycle preferred (collateral, reconciliations, settlements)
  • Operations experience preferred
  • IAQ / IMC is advantageous