Associate Specialist, Fund Admin, Hedge Fund Services

Northern Trust

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profile Job Location:

Chicago, IL - USA

profile Monthly Salary: $ 95600 - 162400
Posted on: 19 hours ago
Vacancies: 1 Vacancy

Job Summary

About Northern Trust:

Northern Trust a Fortune 500 company is a globally recognized award-winning financial institution that has been in continuous operation since 1889.

Northern Trust is proud to provide innovative financial services and guidance to the worlds most successful individuals families and institutions by remaining true to our enduring principles of service expertise and integrity. With more than 130 years of financial experience and over 22000 partners we serve the worlds most sophisticated clients using leading technology and exceptional service.

Job Description Summary

Responsible for end-to-end fund administration and financial control activities supporting monthly NAV close investor accounting and financial reporting for a multi-billion hedge fund client. Oversees daily and month-end processing across transaction systems the SubLedger investor accounting platforms and Oracle ERP/FS including journal entry posting automated and manual reconciliations and investigation/resolution of breaks.

Reviews investor capital balances profit and loss and fee/performance allocation calculations in accordance with governing documents and ensures appropriate controls and segregation of duties are maintained for system setups and manual adjustments. Coordinates production of financial packages and periodic financial statements supports audit and stakeholder requests and serves as a senior technical advisor driving process improvements and risk/control remediation with a solver mindset.

Major Duties:
1. Oversee monthly NAV close activities including controlling period close in transaction systems monitoring/clearing suspense items and ensuring daily transaction and position postings from source systems to the SubLedger are complete and accurate and that related journal entries are generated and supported.
2. Execute month-end posting of SubLedger journal entry summaries to Oracle ERP and perform/oversee automated reconciliations to validate completeness and accuracy; investigate document and resolve identified breaks.
3. Prepare review and retain support for manual accruals/adjustments when instructed including maintaining appropriate documentation and audit trail.
4. Produce review and finalize monthly financial packages (key financial statements and supporting schedules) maintaining evidence of review within the monthly close package.
5. Perform NAV-to-General Ledger reconciliations (e.g. proprietary investor accounting system to Oracle ERP) and other automated reconciliations (e.g. SubLedger to Oracle ERP); research and resolve differences to closure.
6. Monitor and assess prior-period postings/adjustments for materiality and potential restatement implications; summarize findings and coordinate resolution with relevant parties.
7. Support periodic and annual financial statement production (quarterly semi-annually annually) and coordinate with auditors and stakeholders as required.
8. Review investor capital balances and profit and loss results including management fee and performance allocation calculations in accordance with offering and/or governing documents.
9. Oversee the automated feed of profit and loss from the SubLedger into proprietary investor accounting system and validate allocation outputs to feeder funds and investors; when manual profit and loss adjustments are required ensure system-enforced segregation of duties is followed for input and approval.
10. Oversee posting of applicable investor accounting system -generated amounts to Oracle FS and perform reconciliations (final NAV to the SubLedger and to financial statements) to confirm completeness and accuracy; investigate and resolve breaks.
11. Oversee investor letter generation and publication controls including fund close authorization client review/approval prior to distribution manual letter preparation where applicable within required timelines.

12. Serve as a senior problem solver technical advisor and escalation point for ambiguous high-risk or highly complex month-end close investor accounting and financial reporting issues applying judgment informed by deep technical expertise and experience.
13. Independently identify risks inefficiencies and control gaps; design and drive solutions through influence and subject-matter leadership to improve accuracy scalability and sustainability across fund administration processes.

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Knowledge:

  • Excellent oral and written communication skills are required
  • In-depth Functional / Industry Knowledge is required
  • Highly flexible and adaptable to change
  • Technical Accounting skills / systems knowledge (e.g. Oracle ERP investor accounting platforms ) is required


Experience:

  • Bachelors degree in Accounting Finance or equivalent experience preferred. CPA preferred; other professional qualifications (e.g. ACCA)alsopreferred.
  • 10 years of experience in hedge fund administration financial control audit or related financial services roles.

Salary Range:

$95600 - 162400 USD

Salary range is a good faith estimate of base pay. Northern Trust provides a comprehensive benefits package including retirement benefits (401k and pension) health and welfare benefits (medical dental vision spending accounts and disability) paid time off parental and caregiver leave life & accident insurance and other voluntary and well-being benefits. Northern Trust also provides a discretionary bonus program that may include an equity component.

Working with Us:

As a Northern Trust partner greater achievements await. You will be part of a flexible and collaborative work culture in an organization where financial strength and stability is an asset that emboldens us to explore new ideas.

Movement within the organization is encouraged senior leaders are accessible and you can take pride in working for a company committed to assisting the communities we serve!Join a workplace with a greater purpose.

Wed love to learn more about how your interests and experience could be a fit with one of the worlds most admired and sustainable companies! Build your career with us andapply today.#MadeForGreater

Reasonable accommodation

Northern Trust is committed to working with and providing reasonable accommodations to individuals with disabilities. If you need a reasonable accommodation for any part of the employment process please email our HR Service Center at .


We hope youre excited about the role and the opportunity to work with us. We value an inclusive workplace and understand flexibility means different things to different people.

Apply today and talk to us about your flexible working requirements and together we can achieve greater.


Required Experience:

IC

About Northern Trust:Northern Trust a Fortune 500 company is a globally recognized award-winning financial institution that has been in continuous operation since 1889.Northern Trust is proud to provide innovative financial services and guidance to the worlds most successful individuals families and...
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Discover Northern Trust’s trusted financial services for individuals, families, and institutions. Guided by service, expertise, and integrity since 1889, we offer wealth management, asset servicing, and investment solutions tailored to your goals.

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