FTE Fund Accounting

Texas  ‐ Onsite
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Keywords

Description

Stable Financial Institution is seeking a Mutual Fund Accountant.  Under immediate supervision, you will calculate and analyze all financial data relating to an assigned group of mutual funds.  This includes the reconciliation and preparation of various workpapers and financial reports.

Key Responsibilities/Duties:

§  Calculates daily net asset values (NAVs and distribution rates for the mutual funds (including multiple classes.  Transmits this information to NASDAQ and other required users.  Analyzes all factors which may impact the NAV and escalates issues as appropriate.

§  Maintains the funds' books and records.  This includes reconciling all general ledger accounts. Works to resolve issues relating to the funds with the appropriate parties.  Performs research and analysis on cash discrepancies and dividend and interest income accrual/collection.  

§  Prepares workpapers and related schedules for annual and semi-annual shareholder reports and annual audits in accordance with SEC and GAAP requirements.  Works with the external auditors in answering Fund questions.

§  Calculates the funds monthly SEC yields including analysis of changes from previous month.

§  Assists in special projects for Fund Accounting as assigned.

Please contact us today for immediate consideration. 

Application Requirements
  • Client will not accept subcontractors
Required Qualifications:
  • Investor Accounting
  • Accounting
Benefits/Perks
  • Medical
  • Dental
  • Vision
  • and Life Insurance for Full-time W2 Consultants. Supplemental Disability and Long-Term Care Insurance
  • Dependent Care Assistance. 401(k) with Roth feature. Free E-learning Courses
Start date
n.a
From
MATRIX Resources, Inc.
Published at
21.02.2012
Project ID:
320196
Contract type
Freelance
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