Leading Alternative Asset Manager, located in New York, NY, is seeking an individual to support the Financial Planning & Analysis (FP&A) team. This position will interface extensively with Senior Management and Controllers of the firm.
Job Responsibilities:
Prepare weekly liquidity reports for the flagship funds to determine liquidity needs and timing of investor capital calls/distributions.Prepare monthly FP&A records and report current/projected performance for investors portfolio.Support internal audit requests and data compilation as required.Prepare specific analysis as requested by investors.Job Requirements:
Bachelor's Degree in Accounting, Business Administration, or Finance.1-3 years of financial planning and analysis experience.Strong Excel skills are required.Excellent organizational, communication, multi-tasking and analytical skills.Strong understanding of financial markets.Ability and initiative to handle sensitive deadlines.Compensation:
Open
Job ID:
8228
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