Financial Reporting Accountant- Fund Services
This vacancy is published by an accredited employer with authorized corporate payroll and standard compliance adherence.
Transatlantic Cost of Living & Purchasing Power Benchmark
Position Overview & Specifications
Job Number:
3230154
DESCRIPTION
- Prepare interim and annual Financial Statements accounts for Hedge Fund clients
- Prepare year-end packs of information for Hedge Fund clients & their auditors
- Liaise with Client Account Managers on audit and financial reporting queries
- Identify and implement process changes to enhance efficiency
QUALIFICATIONS
- Qualified ACCA/CIMA/CA accountant
- Strong interpersonal and communication skills, both written and verbal
- Ability to communicate effectively across global locations
- Execute sound judgment on escalating risk
- Ability to adapt to developing business models
- High levels of accuracy and numeracy
- Ability to multi-task
- Applicants should have a record of accomplishment of delivering against tight deadlines
- Experience gained from asset manager, fund administrator, public accounting firm, prime brokerage or securities servicing firm preferable
- Proficiency with Microsoft Office
- Previous Fund Accounting experience or experience of financial statement preparation or audit and assurance background is preferable,
- Adaptable
- Strong communicator
- Good analytical skills
- Team player
- Well organised
- Strong verbal and written communication skills
Candidate Selection & Onboarding Process
Application & Resume Screening
Submit your tailored CV/Resume directly to the talent acquisition portal.
Technical & Competency Interviews
Virtual interviews with the hiring manager and multidisciplinary team.
Formal Offer & Benefits Negotiation
Written agreement outlining compensation, equity, retirement vesting, and relocation allowances.
Onboarding & Corporate Integration
Equipment provisioning, team orientation, and commencement of duties.
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Financial Reporting Accountant- Fund Services • Morgan Stanley
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