Quick Overview
Seniority
Mid Senior
Work mode
Hybrid
Location
Luxembourg, Luxembourg
Posted
Yesterday
Microsoft ExcelMicrosoft OfficeReconciliation
Job Description
Fund Accountant NAV Oversight
Your Day-to-Day
As part of a leading financial services environment, you will play a key role in overseeing Fund Accounting activities and ensuring the quality and consistency of operational processes delivered across multiple teams and stakeholders.
Responsibilities
Client Expectations
Your Profile
Technical Expertise
Languages
IT Skills
Your Day-to-Day
As part of a leading financial services environment, you will play a key role in overseeing Fund Accounting activities and ensuring the quality and consistency of operational processes delivered across multiple teams and stakeholders.
Responsibilities
- Oversee daily fund accounting activities to ensure accuracy, quality and timely delivery of services.
- Monitor transaction processing activities and investigate exceptions when required.
- Review reconciliation results and ensure outstanding items are appropriately addressed.
- Perform controls and validation checks on NAV calculations and related accounting outputs.
- Act as a key coordination point for operational issues, incidents and escalations.
- Support business teams in resolving complex operational situations and mitigating production risks.
- Monitor the impact of fund lifecycle events on accounting and operational processes.
- Conduct regular reviews of outsourced operational activities and control frameworks.
- Track service performance and contribute to continuous improvement initiatives.
- Prepare and consolidate reporting metrics for governance forums and management reviews.
- Ensure compliance with internal procedures, service standards and regulatory requirements.
- Contribute to the identification, assessment and mitigation of operational risks affecting Fund Accounting activities.
Client Expectations
- Maintain a robust oversight framework across Fund Accounting operations.
- Ensure the accuracy and integrity of NAV-related controls.
- Deliver high-quality monitoring and governance of operational activities.
- Facilitate efficient resolution of incidents, exceptions and escalations.
- Support continuous improvement of fund accounting processes and controls.
- Collaborate effectively with international stakeholders in a complex operating environment.
Your Profile
Technical Expertise
- Strong experience within Fund Accounting environments.
- Proven exposure to NAV Oversight, NAV Control or Fund Accounting Oversight activities.
- Solid understanding of NAV production processes and associated controls.
- Experience reviewing accounting exceptions, reconciliations and operational incidents.
- Knowledge of investment fund operations and fund lifecycle events.
- Familiarity with oversight and governance frameworks within financial services.
- Understanding of UCITS and fund administration environments.
- Experience interacting with multiple operational teams and service providers.
- Ability to analyse operational risks and coordinate remediation actions.
- Experience working in international and regulated financial environments.
Languages
- Fluent English is mandatory.
- French is considered an advantage.
IT Skills
- Advanced Microsoft Excel.
- Strong knowledge of Fund Accounting tools and reporting solutions.
- Experience with reconciliation, control or monitoring platforms.
- Good analytical and data reporting capabilities.
- Proficiency with the Microsoft Office Suite.
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