Fund Development Manager Jobs
By Shelter Movers At Toronto, Ontario, Canada
Salary: $60,000-75,000 per year + benefits dependent on skills & experience
At least 3-5 years of proven success in a charitable fundraising environment or the equivalent education and experience
Excellent organizational and analytical skills with the ability to manage multiple priorities
- Track and monitor donor activities and contributions in CanadaHelps Donor Management System (DMS)
Excellent interpersonal and communication skills, including proficiency in public speaking and presentations, are required
Experience in event planning, solicitation of gifts of varying sizes and frequency
Fund Accounting Manager Jobs
By Sixty Degree Capital At Toronto, Ontario, Canada
Strong analytical, financial and management accounting skills will be necessary to perform this role.
Provide leadership and guidance in the day-to-day management of investment operations functions
Degree in Finance, Economics, or other related disciplines.
Minimum of 5+ years of financial industry work experience, at least 2-year hands-on experience of managing PE/VC fund.
Ability to manage and analyze investment data using Excel (Advanced Excel), PowerBI, SharePoint and Backstop (training will be provided).
Strong interpersonal and organizational skills.
Senior Manager, Hedge Accounting & Financial Operations
By EQ Bank | Equitable Bank At Toronto, Ontario, Canada
Knowledge of Microsoft SQL Server Management Studio would be an asset
1-3 years derivative accounting/valuation experience, including hedge accounting, with sound technical knowledge
Prepare hedge accounting documentation and effectiveness testing, ensuring full compliance with IAS 39 and IFRS 9 disclosure requirements
Manage settlements for security transactions, including swap payments and receipts
University/post-graduation education in Accounting, Commerce, or Business.
10+ years of experience at financial institutions including 3 years with an accounting firm having worked with clients from financial institutions
Hedge Fund Accounting And Administration, Senior Associate
By State Street At Toronto, Ontario, Canada
Must have a minimum of 2 years of experience at the management level in a hedge fund administration environment
Review and validate the partner/shareholder allocation calculations, including management and incentive fee calculations
Review of the weekly / month end NAV pack before presentation to NAV Officer / Manager
Lead/assist with periodic financial reporting for Hedge Funds (i.e. Statement of Assets and Liabilities and Statement of Profit and Loss)
Excellent communication and interpersonal skills
Must have a minimum of 3 years experience in a hedge fund administration environment or other related financial services experience.
Hedge Fund Accounting, Officer
By State Street At Toronto, Ontario, Canada
Involved in all areas of talent management including; hiring, training, supervision, and delivery of performance reviews.
Review limited partnership agreements and offering memorandums and ensure compliance with operational and accounting procedures.
Manage the planning, preparation, and execution of weekly and/or monthly net asset value reporting cycle in accordance with US GAAP.
Coordinate all external audit requests, and requirements from financial reporting, tax, compliance, risk and regulatory reporting as required.
Meet all requirements for the performance planning process including goal setting, regular and immediate feedback and submission of formalized performance appraisals.
Bachelor’s degree in Accounting or Finance
Supervisor, Fund Accounting – Hedge Funds
By The Citco Group Limited At Toronto, Ontario, Canada
You will have some successful supervisory/management experience.
Interact with senior management and clients; help establish plan for new client setup and transitions
You have an accounting / finance background with relevant experience – evidenced by:
Manage and monitor the timing and quality of client deliverables
Help coordinate, manage, and monitor external audit process
You have a Bachelor degree in accounting, finance or economics AND
Assistant Manager, Fund Services
By VISTRA At Toronto, Ontario, Canada
Team player with good attitude and approachable personality and good staff management skills
Strong time management skills in meeting client deadlines
Strong working knowledge of Investran Private Equity Accounting system (key requirement)
Competent accounting knowledge in IFRS and US GAAP
Possess at least 3 years of private equity accounting experience and ideally 2 years’ experience in the FIS Investran experience
Assessing/planning the volume/level of work against timelines and disseminating daily workflows to other team members
Manager, Fund Accounting – Private Equity
By The Citco Group Limited At Toronto, Ontario, Canada
Strong project management skills with attention to detail and proven ability to multi-task
Prepare and review fee calculations including (but not limited to) management fees, admin fees, waterfall clawback, and carried interest calculations
Interact with senior management and manage overall relationships for multiple clients
Strong leadership skills and supervisory experience of other professionals
Working knowledge of Excel and Word essential, experienced user of the SunGard Investran PE accounting platform highly desirable
Manage and monitor the timing and quality of client deliverables
Director, Fund Accounting (Fund Of Funds)
By MUFG Investor Services At Toronto, Ontario, Canada
Provide accurate and up to date management reporting as required. Ensure all invoices are billed and collected on time.
Strong computer skills with strengths in Microsoft Office products. High proficiency with Microsoft Excel is a critical requirement for this role.
Manage a team of client operations staff in performing accounting and administrative service. Allocate resources appropriately to maximize productivity.
Participate in global projects and committees to improve procedures and enhance our product offering.
Demonstrate leadership and the ability to effectively manage a team of accounting professionals.
In depth understanding of fund administration industry. This includes various fund structures, fee calculations, financial instruments and fund offering documentation review.
Analyst, Hedge Fund Credit Coverage
By RBC Capital Markets At Toronto, Ontario, Canada
Excellent communication, business development and relationship management skills.
Support the maintenance and management of the credit relationship of a diverse portfolio of Hedge Fund accounts.
A basic knowledge of hedge funds and the different strategies they employ.
Strong interpersonal skills and the ability to work effectively within a team environment.
Ability to prioritize work and manage multiple tasks while meeting time sensitive deadlines.
Strong analytical, technical, written and communication skills.
Fund Accounting Supervisor (Fund Of Funds)
By MUFG Investor Services At Toronto, Ontario, Canada
Post-secondary education/University Degree with a concentration in finance or accounting.
Partner with investment managers, brokers and auditors for daily operational issues;
Work with other teams, such as IO, finance, regulatory reporting and banking to ensure all deliverables are met
In-depth understanding of fund administration industry. This includes multiple fund structures, fee calculations, financial instruments and fund offering documentation review.
1+ years of experience with fund accounting software Geneva would be beneficial but not necesary
Have a working knowledge of Bloomberg would be beneficial but not necessary
Senior Fund Accountant (Hedge)
By MUFG Investor Services At Toronto, Ontario, Canada
Advanced financial accounting and/or auditing skills including experience in accounting for complex financial instruments
Assist with the audit process and actively participate in the preparation of annual financial statements and other regulatory reporting requirements
University Degree majoring in Accounting, Business, Science or Finance required
Minimum of two years progressive hedge fund administration or audit experience
Strong communication and interpersonal skills (oral, written and presentation)
Experience reviewing or auditing valuations of private equity/OTC investments
Fund Accounting Supervisor Jobs
By MUFG Investor Services At Toronto, Ontario, Canada
Manage and assist with the preparation of monthly/quarterly management accounts and reporting packages for various reinsurance entities
Manage and assist with client regulatory reporting requirements
University Degree in Business, Finance, Economics, Science or Accounting; qualified accountant or other relevant qualification an asset but not required
Advanced financial accounting and/or auditing skills including experience accounting for complex financial instruments
Responsible for peer review of NAV computation for all the funds belonging to the client accounts managed
Manage and assist in the preparation of Fund financial statements and tax reporting
Fund Accounting Supervisor, Private Markets
By MUFG Investor Services At Toronto, Ontario, Canada
Review/Prepare fee schedules including calculation of management fees and carried interest, ensuring all calculations observe applicable fund documents
Experience in supervisory skills and/or coaching / mentoring
Collaborate with client, banks, auditors and property managers to ensure smooth delivery to clients and completion of deliverables
At least 4 years' experience working in the fund administration industry or audit
Private Equity or Real Estate experience is preferred
Experience in working on a Private Equity or Real Estate accounting system, preferably Yardi or Investran
Fund Accounting & Administration, Associate 2
By State Street At Toronto, Ontario, Canada
Perform research and resolution on exception items; escalate unresolved issues to management as needed
Demonstrate progression of process knowledge and understanding of all relevant functional activities in the team
Manage own development by engaging in the PPR process, seeking feedback from others and by attending mandated and relevant training
Complete subscription, redemptions, transfer forms and other fund of funds investment related documents
Deliver services in accordance with Standard Operating Procedures and ensure that assigned work is performed to meet internal standards
Resolve routine problems using own initiative and escalate complex issues as needed
Hedge Fund Accounting And Administration, Senior Associate (Hybrid)
By State Street At Toronto, Ontario, Canada
Must have a minimum of 2 years of experience at the management level in a hedge fund administration environment
Review and validate the partner/shareholder allocation calculations, including management and incentive fee calculations
Review of the weekly / month end NAV pack before presentation to NAV Officer / Manager
Lead/assist with periodic financial reporting for Hedge Funds (i.e. Statement of Assets and Liabilities and Statement of Profit and Loss)
Excellent communication and interpersonal skills
Must have a minimum of 3 years experience in a hedge fund administration environment or other related financial services experience.
Hedge Fund Accounting, Avp
By State Street At Toronto, Ontario, Canada
Strong managerial skills and experience managing offshore locations
Excellent knowledge of hedge funds including but not limited to products, fees, fund structures, allocations
Excellent written and verbal communication skills
Bachelors of Science. Accounting/Finance preferred.
8+ years of hedge fund accounting, fund accounting, hedge fund of fund, or audit experience. Prefer majority is hedge experience
Final review and sign off on NAV packages;