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At J.P. Morgan we value diversity and innovation. Join our Fund Accounting Team to leverage your unique skills and experiences. Help us grow and position our business for the future by ensuring accurate fund valuations and regulatory compliance.
Job Summary:
As a Fund Accounting Analyst within the JP Morgan Fund Accounting Team you will manage the production and review of NAV and client reporting activities. You will ensure compliance with regulatory requirements and deliver high-quality service to mutual fund clients. Your role involves detailed analysis and quality review of NAV impacting activities and regulatory reports.
Job Responsibilities:
- Review cash and asset breaks reconciliation.
- Audit day-to-day activities per SOPs and client deadlines.
- Analyze client accounting records and escalate issues.
- Resolve team queries and guide junior members.
- Liaise with partner sites for external deliveries.
- Interact with stakeholders for accounting queries.
- Improve processes and encourage team efficiency.
- Ensure adherence to risk and control checks.
- Liaise with OCM team for issue reviews.
- Manage team objectives and performance reviews.
- Perform root-cause analysis of breaks and redesign processes.
Required Qualifications Capabilities and Skills:
Preferred Qualifications Capabilities and Skills:
Full-Time