Position Overview
Responsibilities
Provide global oversight of back-office operationsManage cash processes and forecast future liquidity requirementsDeliver fully reconciled portfoliosMonitor and explain portfolio P&LOversee NAV calculationsIdentify and implement process improvementsDevelop and maintain custom reports for internal and external stakeholdersProduce daily risk reporting VaR, stress testing, scenario analysis)Support audit workflows and documentationMaintain financial and regulatory compliance documentationContribute to ad hoc projects as required Qualifications
Education
Undergraduate degree requiredPostgraduate qualification in a finance-related field preferredCFA Charterholder or actively progressing toward completionStrong academic track recor...