DescriptionAbout the Team and Role We invite you to join one of the worlds most admired and prominent financial institutions. Our people are our strength and the diverse talents they bring to our global team directly drive our success. We foster a creative inclusive work environment that values employees personal and professional development.
As an Analyst on our Securities Valuation team you will be responsible for capturing and validating security prices used to calculate and submit mutual fund Net Asset Value (NAV) for multiple clients. You will analyze pricing movements versus market expectations liaise with pricing vendors to resolve issues and minimize risk through a continuous improvement mindset. The ideal candidate brings strong attention to detail delivers timesensitive tasks reliably and is passionate about driving solutions across organizational boundaries.
Job Responsibilities
- Capture and validate daily prices across all investment types; ensure accuracy and completeness of pricing data.
- Analyze asset valuation movements daily and assess deviations versus market expectations.
- Review price confirmations to ensure validated prices are published accurately and on time.
- Complete all daily monthly and ad hoc tasks and reporting accurately and by deadline.
- Understand how price and data element changes impact account market values and respond appropriately.
- Investigate pricing inquiries from business partners and resolve client and vendor queries promptly.
- Identify control gaps and quality deficiencies; implement tactical and strategic solutions to prevent recurrence.
- Support audits by retrieving evidence and reviewing pricing activities and controls.
Required Qualifications Capabilities and Skills
- Bachelors degree in Finance Accounting Economics Mathematics Computer Science Engineering or a related field.
- Strong analytical and problemsolving skills with exceptional attention to detail.
- Ability to troubleshoot exceptions quickly and effectively to avoid market exposure.
- Selfmotivated and proactive; able to work effectively in a team and maintain accuracy under pressure.
- Willingness to work flexible hours including early starts and/or late finishes as business needs require.
- Proficiency in Microsoft Excel (e.g. pivot tables VLOOKUP; XLOOKUP).
- Effective verbal and written communication skills; demonstrated customer focus and followup.
Preferred Qualifications Capabilities and Skills
- 1 years of experience in asset pricing or NAV/fund accounting.
- Familiarity with pricing vendors and market data sources (e.g. PricingDirect Bloomberg Refinitiv/Reuters).
- Knowledge of industry activities including corporate actions index tracking equities and fixed income products.
Required Experience:
IC
DescriptionAbout the Team and Role We invite you to join one of the worlds most admired and prominent financial institutions. Our people are our strength and the diverse talents they bring to our global team directly drive our success. We foster a creative inclusive work environment that values empl...
DescriptionAbout the Team and Role We invite you to join one of the worlds most admired and prominent financial institutions. Our people are our strength and the diverse talents they bring to our global team directly drive our success. We foster a creative inclusive work environment that values employees personal and professional development.
As an Analyst on our Securities Valuation team you will be responsible for capturing and validating security prices used to calculate and submit mutual fund Net Asset Value (NAV) for multiple clients. You will analyze pricing movements versus market expectations liaise with pricing vendors to resolve issues and minimize risk through a continuous improvement mindset. The ideal candidate brings strong attention to detail delivers timesensitive tasks reliably and is passionate about driving solutions across organizational boundaries.
Job Responsibilities
- Capture and validate daily prices across all investment types; ensure accuracy and completeness of pricing data.
- Analyze asset valuation movements daily and assess deviations versus market expectations.
- Review price confirmations to ensure validated prices are published accurately and on time.
- Complete all daily monthly and ad hoc tasks and reporting accurately and by deadline.
- Understand how price and data element changes impact account market values and respond appropriately.
- Investigate pricing inquiries from business partners and resolve client and vendor queries promptly.
- Identify control gaps and quality deficiencies; implement tactical and strategic solutions to prevent recurrence.
- Support audits by retrieving evidence and reviewing pricing activities and controls.
Required Qualifications Capabilities and Skills
- Bachelors degree in Finance Accounting Economics Mathematics Computer Science Engineering or a related field.
- Strong analytical and problemsolving skills with exceptional attention to detail.
- Ability to troubleshoot exceptions quickly and effectively to avoid market exposure.
- Selfmotivated and proactive; able to work effectively in a team and maintain accuracy under pressure.
- Willingness to work flexible hours including early starts and/or late finishes as business needs require.
- Proficiency in Microsoft Excel (e.g. pivot tables VLOOKUP; XLOOKUP).
- Effective verbal and written communication skills; demonstrated customer focus and followup.
Preferred Qualifications Capabilities and Skills
- 1 years of experience in asset pricing or NAV/fund accounting.
- Familiarity with pricing vendors and market data sources (e.g. PricingDirect Bloomberg Refinitiv/Reuters).
- Knowledge of industry activities including corporate actions index tracking equities and fixed income products.
Required Experience:
IC
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