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Fund Accounting HedgeMark Poland Senior Analyst

Hays Poland

Wrocław, dolnośląskie

Hays Poland

Fund Accounting HedgeMark Poland Senior Analyst

Wrocław
Fund Accounting HedgeMark Poland Senior Analyst
Wrocław
NR REF.: 1120482

Job DescriptionHedgeMark (“HM”), a BNY Mellon company, specializes in supporting institutional clients in the development and operation of their own private hedge fund dedicated managed account platforms (“DMA”). HM supports clients in formation and structuring of their private vehicles; negotiating fund documents and counterparty agreements and project managing each fund’s launch. Post launch, HM provides risk and performance reporting and investment guideline monitoring to the client. HM is also responsible for performing operational and accounting functions which provide independent oversight and controls to the process.As of May 31, 2018, HM services 91 DMA funds with $10.5 Billion assets under management.
Overview HM Fund Accounting Team FunctionThe HM Fund Accounting team works closely with HM’s Operations team for daily and monthly deliverables. The HM Fund Accounting team is responsible for reviewing and approving the Administrator’s net asset valuation, and will review and discuss the final reconciliation and valuation review performed by the Operations analyst. The HM Fund Accounting team is also responsible for reviewing and processing invoices and for managing the audit process. Each fund / client will have primary and backup HM Fund Accounting and Operations analysts who will work together to understand the particulars to the fund and to service the client.

The Senior Analyst, HM Fund Accounting is responsible for the following functions:
  • Review daily/weekly/monthly NAV calculations, management/incentive fees and expense ratios for a variety of alternative investments products. Recalculate daily/weekly/monthly asset based operating expenses and fixed expenses to ensure accuracy of expenses calculated by admin.
  • Prepare cash reconciliations between reports received from brokers and administrators.
  • Review daily/weekly/monthly subscriptions/redemptions schedules prepared by external fund administrators and coordinate timely payment to the Fund itself (subscriptions) or the Funds’ investors (redemptions).
  • Assist external fund administrators with various daily/weekly/monthly projects and coordinate timely NAV reporting to external clients.
  • Ensure timely payment of invoiced expenses in accordance with each Fund’s agreements and payment process. Follow-up with vendors and investment managers in doing so.
  • Monitor and review valuation methodologies within each Fund’s portfolios based on US GAAP guidance and the Funds’ individual pricing policy.
  • Monitoring daily bank and brokers/counterparties cash balances.
  • Respond to email queries from clients, investment managers, administrators and counterparties in a timely manner.
  • Perform project work to support internal and external needs.
  • Utilize cash reconciliation module, Expense module, Invoice module, NAV (performance) reporting module and NAV review module of our proprietary HM-Operations website. Provide new ideas and suggestions for enhancing our proprietary website to make processes efficient. Perform system testing for new releases.
  • Review draft audited financial statements including analytical review of balance sheet and income statement accounts and related footnote disclosures.

Qualifications:
  • The candidate must have knowledge of and experience with hedge funds with many different types of investment structures and instrument types, including equities, fixed income, foreign exchange, interest rate swaps, credit default swaps, OTC options and structured products.
  • The candidate must be highly proficient with PC applications (Excel and Word), must possess strong analytical and verbal communication skills and be able to work independently and under significant pressure while adhering to constantly changing strict deadlines.
  • The candidate must be extremely detailed and control-oriented with a very strong understanding of the risks of our business, in addition to having good interpersonal skills in order to effectively partner with employees that do not report to him/her and to deal effectively with other internal groups and external clients.
  • Bachelor’s degree in accounting or the equivalent combination of education and experience is required.
  • 2-4 years of total work experience preferred. Big 4 accounting firm experience and CPA/CA preferred.

What we can offer you:
  • Full time contract of employment
  • Competitive salary
  • Health & Life Insurance
  • Multisport card / Cinema Tickets / Nursery subsidiary
  • Pension scheme
  • Excellent opportunities for training, growth and professional development
  • Opportunities to engage in diverse projects due to growth of business migrations
  • A multitude of opportunities to get involved in additional charity projects
  • A collaborative culture and great teams
Prosimy o aplikowanie poprzez przycisk znajdujący się po prawej stronie ogłoszenia.
Hays Poland

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