eFinancialCareers
Job Location :
London, UK
Posted on :
25/02/2025 - Valid Till :
08/04/2025
Job Description :
Key Responsibilities:
- Designing controls and processes to minimise the risk of inaccurate valuation of instruments
- Investigating the status of stale, illiquid, delisted and/or suspended securities to identify assets for which valuation adjustments need to be processed.
- Understand the pricing process of the outsourced service providers and suggest and implement changes where necessary
- Maintain relationship with Investment teams, Client groups and other Operations functions across the business. Understand, resolve and respond to queries in an efficient and effective manner
- Being a point of contact and providing timely, accurate, and thorough support for valuation related queries across the business
You will likely possess:
- Relevant fund accounting experience for OEIC, SICAV or other similar fund structures
- Experience in overseeing service providers and monitoring of services.
- Knowledge of all types of financial instruments and the various trade cycles.
- Knowledge of regulatory frameworks related to the asset management industry.
Salary :
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