Fund Accounting Specialist - C05
Job Summary
The candidate will have primary responsibilities of managing Multifond, pControl and associated Fund Accounting applications Support, identification of different issues and providing accurate and timely result to the Global Fund Accounting Users. Team member is responsible for interacting with Global MF Users, Business and Operations teams to provide a high quality of product to the internal and external clients and meet the agreed and expected service standards. The support member is responsible to coordinate with Operations, technology and third-party vendors provide a high quality issue resolution and meet the agreed and expected service standards.
The candidate may also be responsible for contributing to the delivery of local, global and strategic Fund Accounting projects for Citi and external clients.
Solid understanding of Fund Accounting domain is essential. Candidate must be open for 24x7-work environment.
Primary Responsibilities
- Analyze root-cause of issues reported on various applications and provide solution to operation team in a timely manner.
- Focus on production issue resolution, general support and maintenance for the Funds Administration business.
- Responsible for providing L1 support for Fund accounting applications in a 24/7 environment.
- Static set up and maintenance.
- manage MF application change and upgrade test as and when required.
- Provide support to the Funds Administration business and liaise with the application vendors and technology on their behalf.
- To work in partnership with the business to ensure timely issue resolution.
- Meeting SLA/OLA/KPI.
- Test vendor/application solutions.
- Track the schedule, issue resolution progress, and be accountable for the associated tasks.
- Ensure accurate and timely execution of the assigned tasks.
- Work closely with other internal teams on upcoming projects, assignments and initiatives.
Qualification, Experience, Skills and Competencies
- Preferably MBA (Finance) / CA / ICWA
- 2-4 years of experience in fund accounting domain.
- Sound knowledge and understanding of accounting principles and NAV calculation.
- Knowledge of all Security types like Equities, Bonds, Repo, CFD, Futures, Options, Bank Debts, SWAPS, Forwards, Spot, etc, trade life cycle, various Corporate Actions and its impact on portfolio will be an advantage.
- Basic SQL knowledge.
- Excellent written and spoken communication skills.
- Ability to work independently, as well as in a team environment, prioritizes multiple tasks and meets strict deadlines.
- Must be prepared to work in a shift in line with regions supported including India night shifts.
- Innovative approach to work and continuously identifies and implement process improvements.
- Experience in Fund Accounting application like Multifonds / pControl /Investone will be an added advantage.
- Good attention to detail and high levels of accuracy
- Strong analytical and problem-solving skills.
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Job Family Group:
Operations - Transaction Services------------------------------------------------------
Job Family:
Fund Accounting------------------------------------------------------
Time Type:
Full time------------------------------------------------------
Citi is an equal opportunity employer, and qualified candidates will receive consideration without regard to their race, color, religion, sex, sexual orientation, gender identity, national origin, disability, status as a protected veteran, or any other characteristic protected by law.
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