Found Description
Responsibilities
- Provide global oversight of back‑office operations
- Manage cash processes and forecast future liquidity requirements
- Deliver fully reconciled portfolios
- Monitor and explain portfolio P&L
- Oversee NAV calculations
- Identify and implement process improvements
- Develop and maintain custom reports for internal and external stakeholders
- Produce daily risk reporting (e.g., VaR, stress testing, scenario analysis)
- Support audit workflows and documentation
- Maintain financial and regulatory compliance documentation
- Contribute to ad hoc projects as required
Qualifications
Education
- Undergraduate degree required
- Postgraduate qualification in a finance‑related field preferred
- CFA Charterholder or actively progressing toward completion
- Strong academic track record