Unit Trust Fund Accountant

Fantastic opportunity to form part of the Fund Accounting team at a well-known Investment/Fund Management business based in the Westlake area

 

  • Processing and setting up of audit, trustee, custody and management fees
  • Ensuring Variation Margin is processed correctly and matches the Clearing House Statement daily
  • Ensure capturing / processing of all 3rd Party duplication trades to the accounting system timeously and accurately (ensure they match the third-party valuation reports)
  • Ability to manage client cash flows (subscriptions and redemptions) and ensure units in issue reconcile to Transfer Agency
  • Pricing of funds within the Collective Investment Scheme, ie Daily unitisation and ensuring the valuation of financial instruments are in line with the funds’ performance e.g. equities, bonds, and derivatives
  • Understand how total fund performance is calculated and impacted with each entry captured
  • Monitor and perform income distribution calculations for each fund class
  • Understand tolerance level checking against a benchmark and are familiar with what is deemed as an unacceptable asset and NAV fund price variance
  • Responsible for running, checking and sending of client reports daily and monthly
  • Handling queries efficiently to ensure resolution of both internal and external client queries (in conjunction with the Client Delivery team)
  • Ensure appropriate controls are in place to mitigate risk
  • Supporting the management and co-ordination of team deliverables relating to projects and new client take-on’s

 

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