About the Role
As a Fund Services Supervisor – Real Assets, you will oversee fund accounting operations, ensure timely and accurate financial reporting, and support the delivery of high-quality services to clients while mentoring junior team members.
Key Responsibilities
- Maintain books and records and calculate Net Asset Values (NAV).
- Prepare financial statements and performance reports.
- Calculate carried interest and performance fees.
- Record trade and non-trade transactions.
- Perform cash and position reconciliations.
- Monitor and analyze portfolio pricing.
- Calculate and book fee accruals.
- Prepare NAV packages and ad hoc client reports.
- Liaise with clients, internal teams, and external stakeholders.
- Resolve operational issues and ensure SLA compliance.
- Supervise and support junior team members.
- Maintain compliance with clien...