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Fund Accounting Supervisor (Hybrid)

SEI

Dublin

Hybrid

EUR 60,000 - 80,000

Full time

30+ days ago

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Job summary

A leading investment management firm in Dublin seeks a Supervisor to oversee fund accounting activities. Responsibilities include reviewing the Fund’s NAV and mentoring analysts. The ideal candidate will have over 4 years of experience in Fund operations and strong communication skills. The role offers competitive benefits and supports a hybrid work model.

Benefits

Healthcare for employee and dependents
Pension Scheme
On-site Gym with Fitness Classes
Education Assistance
Competitive Family & Annual Leave

Qualifications

  • 4+ years experience in Fund operations with experience in Alternative Funds.
  • ACCA qualified preferable but not essential.
  • Experience in reviewing Limited Partnership Agreements.

Responsibilities

  • Ensure that the review of the Fund’s NAV is accurate.
  • Build strong relationships with clients and internal teams.
  • Supervise, train, and mentor analysts.

Skills

Team collaboration
Effective communication
Analytical skills
Attention to detail

Education

Third Level qualification in Finance or Business
Job description
Overview

SEI Investments is a leading global provider of asset management and investment technology solutions. The company’s innovative solutions help corporations, financial institutions, financial advisors, and affluent families create and manage wealth. SEI is a people focused organization which encourages and recognizes employee development as being a critical component in the provision of excellent client service. An open, collaborative and detail oriented environment underpins this business objective.

For clarity, SEI Group’s operations in Ireland are carried out through three entities based in Dublin that conduct the Group’s business of managing proprietary UCITS and AIF funds, as well as providing administration and depositary services to funds established by third party investment managers.

Position Description

The Supervisor will be a core part of a team in a high growth area of SEI. This individual will be responsible maintaining and reviewing the accounting books and records of the Funds in the team, including the calculation of the Net Asset Value, preparation of financial statements and regulatory reporting in addition to forging strong internal relationships within their team and client.

What you’ll do
  • Ensure that the review of the Fund’s NAV is accurate and delivered on a timely basis
  • Responsible for the review of expenses schedules, income calculations, capital activity calculations and fund fee calculations
  • Ensure the established controls are maintained and followed during the NAV production cycle
  • Participate and lead in the preparation and readiness for new Fund launches within your team
  • Serve as initial point of contact for clients on fund accounting matters pertaining to NAV production
  • Build a strong relationship within your team and with your client through a conscientious approach to query management and problem resolution
  • Build a strong relationship with all SEI teams and third-party stakeholders in the NAV Production cycle
  • Build a strong product knowledge through exposure to complex Fund structures and financial instruments
  • Supervise, train, coach and mentor analysts on core tasks, systems processing/reporting and procedures
  • Participate in department initiatives and group projects as appropriate
  • Provide input and feedback regarding employees’ ongoing performance / development / performance appraisals
What you bring to the table
  • 4 years + experience in Fund operations with experience in Alternative Funds. Some experience in private markets is preferable.
  • Ability to work effectively in a team, build positive working relationships across the board, take responsibility for assigned work and helping your peers and your manager.
  • ACCA qualified preferable but not essential
  • Effective and confident communication, both written and oral.
  • Experience with analysis of the Trial Balance, general ledger entries, and at a minimum, basic management and performance fee calculations.
  • Experience in working on funds with closed ended structures
  • Experience in reviewing Limited Partnership Agreements and OM’s and fee agreements
  • Third Level qualification in Finance or Business (desirable)
Attributes we value
  • Excellent interpersonal and customer service skills and attention to detail
  • Strong Organisational and administrative skills
  • Energy, accountability and drive
  • Strong oral and written communication skills.
  • Fluency in English Language (both verbal and written) essential.
  • Team player with positive ‘can do’ attitude with excellent problem-solving skills.
Benefits you can expect

Healthcare for yourself, your spouse and any dependents up to the age of 18 years. Pension Scheme. Tax Saver Travel Benefits. Bike to Work Scheme. On-site Gym with Fitness Classes and 1:1 PT Sessions. Club Supplement. Education Assistance. Competitive Family & Annual Leave Entitlements as well as 2 Paid Volunteer Days per year. Life Assurance. Annual Employee Share Participation Scheme.

We are focused on ensuring a healthy work-life balance and offer a hybrid working model and flexible working hours.

Equal Opportunity Employer

SEI is an Equal Opportunity Employer and so much more… We recognize that our people are our most valuable asset and are (literally) invested in your success; we know that a healthy, happy and motivated workforce is key to our continued growth. We are focused on ensuring a healthy work-life balance and offer our employees benefits which include private medical care for you and your family, educational assistance scheme and actively encourage work life balance.

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