Associate Director, Fund Accounting (Private Markets / Private Equity) at MUFG Investor Services
Toronto, Ontario, Canada -
Full Time


Start Date

Immediate

Expiry Date

16 Feb, 26

Salary

0.0

Posted On

19 Nov, 25

Experience

5 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Fund Accounting, Administration Services, Team Management, Client Relationship Management, NAV Process, Financial Instruments, Fund Structures, Fee Calculations, Microsoft Excel, Fund Accounting Software, Auditing, Regulatory Services, Business Consulting, Technological Improvements, Client Reporting, System Initiatives

Industry

Financial Services

Description
Company Description MUFG Investor Services is a trusted partner to many of the world’s largest public and private funds, providing asset servicing and operational solutions built for alternatives. With over $1 trillion in client assets under administration, we offer fund administration, banking, payments, fund financing, foreign exchange overlay, corporate and regulatory services, custody, business consulting, and more. Operating from 17 locations worldwide, we help clients mitigate risk, enhance efficiency, and navigate the operational complexities of today’s investment management landscape. As a division of Mitsubishi UFJ Financial Group (MUFG), one of the world’s largest financial institutions with approximately $3 trillion in assets, we combine deep expertise with the strength and stability of a leading financial institution. To learn more, visit us at www.mufg-investorservices.com. #LI-Hybrid Job Description Report to the Director, Client Operations, Fund Administration, a list of your responsibilities will include: Provide the full range of fund accounting and administration services to hedge fund clients Manage a team of Fund Accountants in performing accounting and administration service delivery to customers and train staff on all aspects of the NAV process Manage ongoing client relationships which could involve minimal travel Work with banks, auditors, brokers and custodians to ensure smooth service delivery to customers and completion of NAV Establish fund or client specific procedures covering all aspects of our services; Ensure cross training and cover in place for all services provided to client. Help with the growth of the local office Create ideas for improving the NAV process, technological improvements and client reporting Participate in multiple system initiatives and projects Qualifications Post-secondary education/University Degree with a concentration in finance or accounting. Significant years' experience working in the fund administration industry with experience managing staff. This can include other administrators, investment managers or fund auditors. High proficiency with Microsoft Excel is an essential requirement for this role. In-depth understanding of fund administration industry. This includes multiple fund structures, fee calculations, financial instruments and fund offering documentation review. Experience with fund accounting software Geneva, Investran or Yardi or working knowledge of Bloomberg would be beneficial Completion or interest in a professional accounting designation (CA, CGA, CMA, ACCA, ICAEW, CFA (or equivalent)) an asset Additional Information What’s in it for you to join MUFG Investor Services? Take a look at our careers site and you’ll find everything you’d expect from a career with the fastest-growing business at one of the world’s largest financial groups. Now take another look. Because it’s how we defy expectations that really defines us. You’ll feel that difference in all kinds of ways. Our vibrant CULTURE. Connected team. Love of innovation, laser client focus, and next-level LEARNING & DEVELOPMENT. Oh, and we really walk the talk when it comes to HYBRID WORKING. So, why settle for the ordinary? Apply now for a Brilliantly Different career. MUFG is an equal opportunity employer.
Responsibilities
Provide a full range of fund accounting and administration services to hedge fund clients while managing a team of Fund Accountants. Establish fund-specific procedures and help improve the NAV process and client reporting.
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