
Senior Associate, Nexus, BPO Back Office
- Halifax, NS
- Permanent
- Temps-plein
- Review and approve administrator NAV Calculations for accuracy and completeness, liaising with the administrator to resolve any issues.
- Calculate fund management and incentive fees according to the fund's legal structure.
- Analyze fund performance and class/investor allocations
- Oversight of fund accounting activities, through maintenance of independent books and records, valuation, and reconciliation.
- Supporting the client with investor requests, management reporting and other ad-hic queries
- Collaborate with various departments to ensure accurate and timely maintenance of funds.
- Produce other reporting as required to fulfill both internal and external requirements.
- Train new team members (in person or remotely) on existing as well as new processes.
- Experience in fund accounting for alternative investment funds
- Client-facing experience with proven relationship management skills
- Ability to work independently
- Bachelors/Diploma in Accounting, Finance or a related field
- Professional designation such as CPA/CFA (or in progress) would be considered an asset