About the job Senior Associate, Fund Accounting (Dublin)
Role will be responsible for all or some of the following:
● Preparing low to medium complexity NAV packages in accordance
with MaplesFS policies and procedures;
● Ensure the proprietary database is completed with accurate data by
the take-on point of the client;
● Liaison with internal and external parties, such as investment
managers, prime brokers and custodians in relations to trading
activities as required for transaction processing and NAV preparation,
if required;
● Liaison with auditors to provide requested information and respond to
queries , if required;
● Data entry for new client and fund setups
● Data management for fund closures and client terminations
● Liaising with other functions of the company across the globe, ensuring
the company’s services are delivered timely and accurately
● Fee processing management – including booking of fees in the billing
system and preparation of invoices
● Completion of monthly revenue accrual reports
● Retrieving data and performing data analysis for management/client
reporting
● Preparation of Management Reporting including but not limited to
KPIs, Accounts Receivable, Profitability, and other client management
reporting as required.