Fund Controller - Eximius Finance
United Kingdom 1 day ago
Job Description
Validate daily P&L of portfolio managers and funds Ensure internal P&L\NAV records are consistent with the administrator Review and validate NAVs, including independent price verification Preparation and review of annual financial statements of clients’ fund vehicles Assist in meeting clients’ regulatory reporting obligations Liaise closely with the fund administrators, clients and internal functions to ensure issues are identified and resolved timeously Contribute towards process improvement and other project work
Fund Accountant - Eximius Finance
United Kingdom 23 hours ago
An accountancy qualification is essential and a background in either fund accounting or product control is needed. Experience in financial products is essential also. Investment Banking Poduct Control backgrounds would also work.
Fund Accountant - Eximius Finance
United Kingdom 23 hours ago
Responsibilities Review and oversee financial information prepared by third party fund administrators Accounting and deal execution aspects of private equity transactions Prepare/ review quarterly valuations in accordance with the Valuation policy...
Fund Controller - Eximius Finance
United Kingdom 1 day ago
Validate daily P&L of portfolio managers and funds Ensure internal P&L\NAV records are consistent with the administrator Review and validate NAVs,...
Financial Accountant
Cardiff, Wales 9 days ago
The Finance Department is responsible for provision of wide-ranging financial services and advice for the Representative Body and other provincial bodies through: Developing and maintaining an effective financial strategy Co-ordinating and producing...