Specialist managing fund client accounting for BNY, a leading global financial services company. Involved in client interactions and accounting services for complex funds in Wroclaw.
Responsibilities
Conduct accounting services on behalf of assigned clients and moderately complex funds including determining net asset values, calculating fund performance, allocating expenses and preparing reports
Drive Service Improvement plans, target efficiencies, enhance processes and perform specialist review functions within Fund/Client Accounting responsibilities
Check the work of more junior team members and provide guidance as needed
Perform cash and asset reconciliations related to more intricate accounts or transactions within assigned funds, including reconciliation of account expenses for complex transactions and appropriate allocation
Escalate atypical transactions to senior team members
Draft reports for clients regarding the performance of funds and may review first draft reports completed by more junior staff
Interact with clients to answer questions regarding fund reports and accounting processes
Ensure all OTC trades processed correctly to accounting platform
Asset creation of OTC security types
Coordination with Security Master for other OTC asset creations
Review asset static data and trade details to highlight anomalies or nonstandard terms
Term-sheet review for complex/nonstandard OTCs
Contribute to the achievement of team objectives
Requirements
Bachelor’s degree in accounting or the equivalent combination of education and experience
3+ years of total work experience preferred
Big 4 accounting firm experience preferred
Ability to provide guidance to less experienced team members
May have people management responsibilities in some geographies
Benefits
Highly competitive compensation
Benefits programs rooted in a culture of excellence
Paid leaves including paid volunteer time
Job title
Fund/Client Accounting Representative II, Supervisory
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