- Preparation of management fee and performance fee invoices and application of cash
- Preparation of performance fee compensation journals including reconciliations to HR schedules
- Reconciliation of deferred revenue accounts and compensation liability accounts
- Preparation of other income journals and associated reconciliations for quarter end reporting, as required
- Placement fee journal entry preparation. Tracking of payments and reconciliation of balance
- Creation and recording of investment related journal entries in our general ledger system and preparation of uploads to our investment accounting system. This includes investment distributions and hedge accounting activities
- Reconciliation between our general ledger system and the subledger. Reconciliation of our custody account
- Preparation of rollforwards and associated analysis for investment related balances including capital commitments and unfunded amounts
- Capital call monitoring. Preparation of wires to funds
- Footnote preparation for SEC documents related to the GL activities undertaken
- Liaising with peers in other departments for best practice developments and process improvements
- Assisting in ad hoc projects and tasks as needed
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