Supervisor, Fund Accounting - Real Assets
at Citco
Toronto, ON, Canada -
Start Date | Expiry Date | Salary | Posted On | Experience | Skills | Telecommute | Sponsor Visa |
---|---|---|---|---|---|---|---|
Immediate | 30 Apr, 2025 | Not Specified | 30 Jan, 2025 | 3 year(s) or above | Good communication skills | No | No |
Required Visa Status:
Citizen | GC |
US Citizen | Student Visa |
H1B | CPT |
OPT | H4 Spouse of H1B |
GC Green Card |
Employment Type:
Full Time | Part Time |
Permanent | Independent - 1099 |
Contract – W2 | C2H Independent |
C2H W2 | Contract – Corp 2 Corp |
Contract to Hire – Corp 2 Corp |
Description:
ABOUT CITCO:
The market leader. The premier provider. The best in the business. At Citco, we’ve been the front-runner in our field since our incorporation in 1948 led to the evolution of the asset servicing sector itself. This pioneering spirit continues to guide us today as we innovate and expand, push beyond the boundaries of our industry, and shape its future. From working exclusively with hedge funds to serving all alternatives, corporations and private clients, our organization has grown immensely across asset classes and geographies. For us, this progress is a pattern that we’ll only maintain as we move forward, always prioritizing our performance. So for those who want to play at the top of their game and be at the vanguard of their space, we say: Welcome to Citco.
Responsibilities:
- Complete and review operational deliverables in line with Service Level Agreements with clients.
- Act as central point of contact for clients
- Assist Operations Manager in allocation of work to staff, work-flow processes and improvements
- Assist staff with their work as need arises and prepare more complex deliverables
- Break resolution for all open items with the clients
- Ensure client deadlines are met
- Support open-ended fund teams with all AXI allocation needs
- Liaise with multiple external parties (auditors, legal counsel, investors)
Review Quarterly/Monthly reports and working papers, which include:
- Cash and Position Reconciliations
- Expense Accruals
- Dividends and Interest Accruals, if applicable
- All capital activity pertaining to the funds (Capital Call and Distribution processing)
- Limited Partner and General partners/Shareholder Allocation; calculations/schedules – includes review of Admin/Management fees/Waterfall/Clawback calculations
- Trial balances and related working papers
- You will complete financial statements, footnotes and Partner Capital Statements
- Lead and coordinate all preparation activities required for monthly, quarterly, and annual deliverables.
- Liaise with other internal Citco teams (Treasury, Client relations, etc.) to ensure efficient flow of information within different Citco team
- Assist staff with their work as need arises and prepare more complex deliverables
- Ensure client deadlines are met
- Support the conversion of any new clients and existing migrations
- Liaise with multiple external parties (auditors, legal counsel, investors)
- Ensure timely preparation of Quarterly/Monthly reports and working papers, which include: Cash and Position, Reconciliations, Expense Accruals, Agree Dividends and Interest Accruals, if applicable
- Prepare or review capital activities pertaining to the funds (Capital Call and Distribution processing)
- Prepare or review Limited Partner and General partners/Shareholder Allocation; calculations/schedules – includes review of Admin/Management fees/Waterfall/Claw Back calculations
- Participate in the preparation of backup schedules for financial statements, footnotes and Partner Capital Statements
- Shape and support the Real Assets Fund Services global business model through technology and operational initiatives.
- Lead and contribute to internal process improvement projects
- Contribute to requirements gathering (creating BRDs and FRDs), design (TDDs) and testing (test scripts) of Citco’s technology platforms, with a strong focus on Yardi (Voyager 7s) as the core Real Assets Software Platform
- Participate in the change management process, overseeing the definition, approval, and implementation of scope changes
- Create business requirements, functional requirements, design specifications, test scripts, training guides, and other artifacts for new processes or solutions
- Demonstrate effective oral and written communication with team members, senior leadership, other internal teams, and clients
- Document status and be able to summarize for project tracking as well as client-facing communications
- Champion efficiencies and new capabilities through detailed analysis of existing processes and user needs
- Assist in managing Yardi set-up, implementation and testing with internal IT, CFS and SPV’s stakeholders
- Trouble shoot and resolve technical issues or escalate to appropriate teams
- Assist with implementation of system upgrades and training staff on system features and functionality
- Act as a liaison between the business and IT staff for product design, project management and execution
- Maintain a pro-active, customer focus at all times (understanding that the customer may be the client, internal management, or collaborating teams)
REQUIREMENT SUMMARY
Min:3.0Max:5.0 year(s)
Financial Services
Accounts / Finance / Tax / CS / Audit
Accounts Management
Graduate
Proficient
1
Toronto, ON, Canada