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Medium — Tier-1 brand and metro location increase competition; seniority and niche specialization reduce density.
High — role requires specialized fund accounting and NAV expertise, limiting cross-industry transferability.
High — explicit 10+ years requirement and mandatory fund-accounting expertise create strict screening filters.
Own analysis, documentation, and validation of business requirements for Fund Accounting initiatives.
Support delivery and execution of business and technology projects improving efficiency, scalability, client experience, and risk management.
Perform data analysis to identify trends and contribute to reporting, process improvement, and operational control initiatives.
Bachelor's or Master's degree in Accounting, Finance, Business, Information Systems, Economics, or related field.
Minimum 10 years of experience in Fund Accounting, Fund Administration, Investment Operations, Business Analysis, or related financial services.
Understanding of mutual funds, institutional funds, collective investment funds, or related investment products.
Experience gathering and documenting business requirements.
Strong background in Fund Accounting or Fund Administration environments with knowledge of NAV production, reconciliations, corporate actions, asset servicing, or financial reporting.
Experience working across business, operations, and technology teams supporting project delivery and operational change initiatives.
Analytical and problem-solving orientation with demonstrated ability to improve process efficiency and operational controls.