
Fund Accountant HYBRID (ND2026) in Boston
Energy Jobline ZR, Boston, MA, United States
Location:
Boston, MA 02210 (3 Days in Office, 2 Remote)
Work Hours:
TBA
Requirements / Skills
Local candidates with BA degrees in Finance or Accounting related fields
Must have Fund and/or Investment banking or experience
Tech savvy - proficient in Excel, MS office suite, etc.
Job Description
The Fund Accountant is responsible for specialized accounting support of commingled investment portfolios within the business line. Leveraging our fund accounting technology, Fund Accountants will complete one or more key aspects of net asset value execution including transactions, capital stock, expenses, corporate actions, cash, and special handling, as well as break identification and resolution. Fund Accountants ensure daily accounting deliverables are timely and accurate.
Primary contact for derivative valuation inquiries
Verify information.
Escalate problem items.
Manage daily volume.
Ensure daily output maintains department/team standards for quality and timeliness.
Help to ensure team deadlines and/or requirements are being met.
Manage daily production reporting.
Monitor and assist in the resolution of issues.
Follow up on open inquiries.
Interact with other BBH departments on resolution of issues.
Break follow up and resolution.
Communicate professionally and constructively to effectively resolve issues in order to minimize risk and exposure.
Communicate with internal departments as necessary.
Contribute to Management Reporting (ie: Clarity, PVC’s, past dues, cash breaks, R and A analysis)
Gain an understanding of the big picture of how specific function impacts the firm.
Contribute to Division/Firm process improvement activities.
Gain efficiencies to improve individual productivity.
Manage multiple tasks and/or projects efficiently despite resource and time constraints.
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Boston, MA 02210 (3 Days in Office, 2 Remote)
Work Hours:
TBA
Requirements / Skills
Local candidates with BA degrees in Finance or Accounting related fields
Must have Fund and/or Investment banking or experience
Tech savvy - proficient in Excel, MS office suite, etc.
Job Description
The Fund Accountant is responsible for specialized accounting support of commingled investment portfolios within the business line. Leveraging our fund accounting technology, Fund Accountants will complete one or more key aspects of net asset value execution including transactions, capital stock, expenses, corporate actions, cash, and special handling, as well as break identification and resolution. Fund Accountants ensure daily accounting deliverables are timely and accurate.
Primary contact for derivative valuation inquiries
Verify information.
Escalate problem items.
Manage daily volume.
Ensure daily output maintains department/team standards for quality and timeliness.
Help to ensure team deadlines and/or requirements are being met.
Manage daily production reporting.
Monitor and assist in the resolution of issues.
Follow up on open inquiries.
Interact with other BBH departments on resolution of issues.
Break follow up and resolution.
Communicate professionally and constructively to effectively resolve issues in order to minimize risk and exposure.
Communicate with internal departments as necessary.
Contribute to Management Reporting (ie: Clarity, PVC’s, past dues, cash breaks, R and A analysis)
Gain an understanding of the big picture of how specific function impacts the firm.
Contribute to Division/Firm process improvement activities.
Gain efficiencies to improve individual productivity.
Manage multiple tasks and/or projects efficiently despite resource and time constraints.
#J-18808-Ljbffr