Join our team as a Senior Fund Accounting Associate. Focus on NAV calculations, reconciliations, and client relations in a hybrid work model that values your contributions. This position focuses on key responsibilities such as executing cash reconciliations, calculating NAV, and managing investor-related processes. You'll play an essential role in producing accurate financial statements, ensuring high-quality analysis and research. Engaging with clients and teams, your efforts will directly influence the quality and reliability of reporting and compliance. Key Responsibilities: • Reconcile cash and holdings between systems • Calculate full NAV, including accruals • Produce investor-related documents and reports • Manage monthly and year-end financial statements • Collaborate on client onboarding and projects Requirements: • Post-secondary degree in Accounting or Finance • 2–3 years of experience in fund accounting • Familiarity with investment products ...