Senior Associate - Fund Accounting & Administration at WisdomTree
New York, New York, USA -
Full Time


Start Date

Immediate

Expiry Date

18 Oct, 25

Salary

140000.0

Posted On

19 Jul, 25

Experience

5 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Structures, Back Office Operations, Addition, Models, Investors, User Experience, Microsoft Office, Finance, Fund Accounting, Mutual Funds, Financial Services, Llc, Access, Thinking Skills, Interpersonal Skills, Derivatives, Bloomberg

Industry

Financial Services

Description

We are seeking a Senior Associate to support the review and preparation of regulatory reports and provide oversight of all accounting functions related to the WisdomTree. This role reports directly to the Assistant Treasurer within the Fund Accounting & Administration department.
The ideal candidate will have 5–7 years of experience in fund accounting and administration, and be a reliable, self-motivated professional with strong communication skills. Experience collaborating with both internal teams and external service providers is essential.
We’re looking for someone who is organized, efficient, and results-driven, with strong critical thinking abilities and a commitment to high-quality work.

EXPERIENCE AND REQUIRED SKILL SET:



    • 5-7 years of fund accounting and administration experience

    • Bachelor’s degree in Accounting or Finance
    • Proficient with Bloomberg and Microsoft Office applications
    • Excellent communication (oral and written) and interpersonal skills
    • Strong analytical and critical thinking skills

    PREFERRED QUALIFICATIONS:



      • Understanding of ETF back-office operations

      • Knowledge and understanding of derivatives, a plus
        $100,000 - $140,000 a year
        The base salary range for this position is $100,000 – $140,000. In addition, employees are eligible for an annual discretionary bonus and competitive benefits package. Total compensation may vary based on factors such as location, role, company, department, experience and individual performance.

      ABOUT US:

      WisdomTree is a global financial innovator, offering a well-diversified suite of exchange-traded products (ETPs), models, solutions and products leveraging blockchain technology. We empower investors and consumers to shape their future and support financial professionals to better serve their clients and grow their businesses. WisdomTree is leveraging the latest financial infrastructure to create products that provide access, transparency and an enhanced user experience. Building on our heritage of innovation, we are also developing and have launched next-generation digital products, services and structures, including digital or blockchain-enabled mutual funds and tokenized assets, as well as our blockchain-native digital wallet, WisdomTree Prime® and institutional platform, WisdomTree Connect™.*

      • The WisdomTree Prime digital wallet and digital asset services and WisdomTree Connect institutional platform are made available through WisdomTree Digital Movement, Inc., a federally registered money services business, state-licensed money transmitter and financial technology company (NMLS ID: 2372500) or WisdomTree Digital Trust Company, LLC, in select U.S. jurisdictions and may be limited where prohibited by law. WisdomTree Digital Trust Company, LLC is chartered as a limited purpose trust company by the New York State Department of Financial Services to engage in virtual currency business. Visit https://www.wisdomtreeprime.com, the WisdomTree Prime mobile app or https://wisdomtreeconnect.com for more information.

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      Responsibilities


        • Daily oversight of NAV calculation and fund accounting activities.

        • Reviewing of fund financial statements.
        • Coordinating fund financial statement process and interfacing with legal and fund auditors to answer questions and resolve issues.
        • Assisting in the preparation and review of regulatory filings such as SEC Forms N-PORT, N-CEN, N-CSR, 24F-2, and FinCen Form 114.
        • Assisting in the preparation and review of fund prospectuses and SAIs.
        • Reviewing daily, monthly and ad hoc requests for fund information.
        • Assisting in the preparation of quarterly board report materials.
        • Calculating and facilitating payment of management and sub-advisory fees.
        • Assisting in the preparation and review of income and capital gain distributions.
        • Reviewing IRS quarterly diversification tests.
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