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7 days ago
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Weekday AI·7 days ago
7 days ago

Investment Operations & Fund Accounting Analyst

United StatesContractRemoteMid · 3+ yearsAccountant

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Top 10%Top 10%: 71 out of 100

Top 10% of NextRaise users matched against Accountant roles in United States.

Must-have skills for this role

  • reconciliations
  • fund accounting
  • nav
  • trade breaks

PDF or DOCX · no account needed

Apply faster with autofill FREEWeekday AI uses Workable - autofill it instead of retyping.careers.example.com/applyAutofillingFull namePriya SharmaEmailpriya.sharma@example.comPhone+49 30 1234567LocationBerlGet the extension

What you'll do

  • Reconcile ledgers vs custodian / bank statements; isolate and explain every residual difference; produce the signed-off rec with adjusting entries.
  • Attribute NAV movements, flag components outside tolerance, and write the variance commentary.
  • Investigate trade breaks between two systems; identify root cause, classify the break, propose the fix, and draft the investigation narrative.
  • Process corporate-action events and compute entitlements per account; handle payment / transfer exceptions (repair / return / escalate); match messy merchant / vendor descriptors to a canonical registry.

What they're looking for

  • 3+ years in fund administration or investment operations (fund accounting, reconciliations, corporate actions, trade support / middle office, or payment operations) at a fund administrator, custodian, asset manager, or bank ops.
  • Hands-on with reconciliations, NAV, trade breaks, corporate actions, or payment / settlement exceptions; strong Excel.

Nice to have

  • CPA or IOC
  • fund-accounting systems (SS&C / Geneva / Multifonds / InvestOne)
  • SWIFT / settlement systems

Summarised by NextRaise from the employer’s description, which follows in full below.

Full description from employer

This role is for one of our clients

Compensation: $75-$110 per hour

We're building a high-quality library of investment-operations and fund-accounting work products. You'll complete self-contained operations exercises from mock files (ledgers, statements, notices) and produce the analyst deliverable for each, graded against a rubric.

Requirements

What you'll do

  • Reconcile ledgers vs custodian / bank statements; isolate and explain every residual difference; produce the signed-off rec with adjusting entries.
  • Attribute NAV movements, flag components outside tolerance, and write the variance commentary.
  • Investigate trade breaks between two systems; identify root cause, classify the break, propose the fix, and draft the investigation narrative.
  • Process corporate-action events and compute entitlements per account; handle payment / transfer exceptions (repair / return / escalate); match messy merchant / vendor descriptors to a canonical registry.

You're a fit if you have

  • 3+ years in fund administration or investment operations (fund accounting, reconciliations, corporate actions, trade support / middle office, or payment operations) at a fund administrator, custodian, asset manager, or bank ops.
  • Hands-on with reconciliations, NAV, trade breaks, corporate actions, or payment / settlement exceptions; strong Excel.

Nice to have

  • CPA or IOC; fund-accounting systems (SS&C / Geneva / Multifonds / InvestOne); SWIFT / settlement systems.

Assessment A ledger-vs-custodian reconciliation that must tie out; a NAV variance attribution; a trade-break root-cause + narrative.

Details Contract, hourly (~15 hrs/week), remote, US-based. Pay $75-110/hr based on experience.

We consider all qualified applicants without regard to legally protected characteristics and provide reasonable accommodations upon request.

Company

Weekday AI
United States

Company facts come from this company's own listings. We only show what the postings themselves carry.

Sourced from Weekday AI's careers site·first seen 14 Sept 2026·last verified 14 Sept 2026·How we source jobs

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