Fund Accountant and Investment Operations (One year contractual role)
Good understanding and experience of Fund Accounting including Net Asset Value (NAV) calculation.
- Excellent knowledge of financial products such as equities, fixed income, derivatives, and private equity.
- Knowledge & experience of booking of cash and security trades for all types of asset classes.
- Knowledge of Bloomberg and experience booking various corporate actions.
- Ability to perform and review daily cash and position reconciliations, investigate breaks, ensure timely escalations to relevant parties, and resolve breaks by posting necessary adjustments.
- Daily communication and oversight of IBOR and BBG application tasks.
Seniority level : Mid-Senior level
Employment type : Contract
Job function : Accounting / Auditing and Finance
Industries : Financial Services, Investment Banking, and Investment Management
Location : Cyberjaya, Selangor, Malaysia
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