JPMorgan is one of the world’s top five most admired and prominent companies. People are our strength and the diverse talents they bring to our global teams are directly linked to our success. We embrace a culture of continuous learning, and we are passionate about using technology and process improvements that enable our world class team to achieve great results for clients. Come join us and be a part of one of the best financial services companies in the world.
As a Fund Accounting Associate within the Global Fund Servicing team, you will get the opportunity to work in a diverse team responsible for ensuring high quality Net Asset Value (NAV) delivery. You will work closely within a global network of operational teams, providing oversight and support of daily production with an overall focus on accurate and timely delivery of daily NAVs. You would be the perfect fit for us if you have great attention to detail, the ability to prioritize and execute time sensitive tasks, and have a passion to deliver solutions across organizational boundaries. Fund Accounting Operations offers the opportunity to work within a hybrid environment.
Job responsibilities
Producing accurate and timely NAVs Performing daily oversight and quality assurance functions in a global operating environment through the use of workflow and exception based accounting tools Ensuring all schedule work is completed by agreed deadlines with the proper evidence and documentation as mandated by corporate policy, regulatory reviews and internal audit Ensuring compliance with all controls and procedures outlined in the procedures manual and general company policies Working closely with internal new business and operational readiness teams through the on-boarding process of new client mandates Developing a thorough knowledge of your client base, prospectus, documentation, etc. Identifying efficiencies and areas for improvement to reduce risk and become more efficient
Required qualifications, capabilities, and skills
2 plus years of experience in Fund Accounting Operations or related experience in fund services Have a thorough understanding of the theoretical and technical nature of mutual fund accounting and administration, including basic accounting principles and theories Ability to work independently and be effective in a fast-paced global operating environment and a matrix management organizations to deliver results Excellent communication, influencing and negotiation skills with the ability to develop and maintain collaborative relationships both internally and with external clients Analytical skills, problem solving, good critical thinking and decision-making skills Expert use of Microsoft Office and experience with exception based accounting tools as well as transactions or general ledger based accounting systems Bachelor’s Degree or equivalent experiencePreferred qualifications, capabilities, and skills
Previous Team Leadership experience and working with multiple vendors, clients and shared services both internally and externally. Experience with process improvements through focus on efficiency increase and risk reduction. Bachelor’s Degree (Accounting or Finance preferred)