Senior Investment and Fund Accountant

SimCorp A/S

$84K — $126K *
Finance & Insurance
Less than 5 years of experience
Job Overview by Ladders

Qualifications

  • 5-7 years of experience in investment and fund accounting
  • Knowledge of IFRS9 and US GAAP
  • Proficient in NAV calculation and fee accruals
  • Experience with SimCorp Dimension or similar accounting systems
  • Ability to analyze complex financial transactions
  • Bachelor's degree in accounting or finance, qualified accountant
  • Minimum 2-3 years of statutory investment accounting experience

Responsibilities

  • Assist in accounting and reconciliation for investment and fund portfolios
  • Support timely preparation of financial statements and reports
  • Collaborate with finance teams to integrate transaction data
  • Analyze transactions and portfolio performance for discrepancies
  • Resolve accounting issues for investment portfolios in a timely manner
  • Ensure compliance with relevant accounting regulations
  • Contribute to improving accounting processes for efficiency

Benefits

  • Global hybrid work policy with in-office and remote flexibility
  • Location-specific benefits personalized by country
  • Continuous learning and professional development opportunities
  • Opportunities for cross-team collaboration
  • Participation in annual discretionary bonus scheme
Full Job Description
WHY THIS ROLE IS IMPORTANT TO US

The Senior Investment and Fund Accountant is a senior member of the Investment Fund Accounting team at SimCorp. With experience in investment and fund accounting, this role is responsible for supporting the accurate recording, reconciliation, and reporting of investment and fund transactions and portfolios.

Working closely with business and finance teams, you will ensure compliance with accounting standards and regulatory requirements while contributing to the preparation of financial reports and managing investment and fund performance analysis. The role also encompasses resolving accounting discrepancies, supporting and mentoring team members, and driving best practices across the team.

Your work spans supporting the accounting and reconciliation of investment and fund portfolios, assisting in the preparation of financial statements and reports, analyzing transactions and portfolio performance to ensure accurate financial reporting, collaborating with internal teams to integrate transaction data into accounting systems, ensuring compliance and supporting audit processes, and participating in UAT testing under guidance - documenting test evidence, performing initial exception investigation, and proposing fixes.

WHAT YOU WILL BE RESPONSIBLE FOR
  • Assist in the accounting and reconciliation of investment and fund portfolios, ensuring accuracy and compliance with accounting standards.
  • Support the preparation of financial statements and reports for investment and fund portfolios, ensuring timely and accurate delivery to stakeholders.
  • Collaborate with finance and business teams to gather investment and fund transaction data and ensure its integration into accounting systems.
  • Perform detailed analysis of investment and fund transactions and portfolio performance, providing insights and identifying any discrepancies.
  • Assist in the resolution of any accounting issues related to investment and fund portfolios, ensuring timely corrective actions.
  • Ensure compliance with accounting regulations and internal policies related to investment and fund transactions.
  • Contribute to the implementation and improvement of accounting processes to enhance operational efficiency and accuracy.
  • Support audits and liaise with external auditors to ensure the integrity of financial reports and accounting records.
  • Monitor changes in accounting regulations and assist in implementing necessary changes to maintain compliance.
  • Assist in the development and training of team members, providing support and guidance in investment and fund accounting practices.


WHAT WE VALUE

Core Technical Skills
  • Fund and Investment Accounting
  • NAV calculation, fee accruals and reconciliations
  • General ledger management
  • Knowledge of financial instruments (bonds, equities, derivatives, FX, etc.)
  • Familiarity with IFRS9 / US GAAP
  • Training in use of accounting systems (SimCorp Dimension)


Analytical & Problem-Solving
  • Exception handling and investigation with a process improvement mindset


Organisational
  • Effective time management
  • Ability to meet strict deadlines
  • Prioritisation skills


Communication & Collaboration
  • Client interaction and reporting
  • Teamwork across dispersed teams


Additional
  • UAT testing experience
  • Multilingual (advantage)
  • Continuous learning attitude
  • Working knowledge of US STAT, GAAP, Tax and IFRS 9
  • Familiarity of diverse security types (especially those used in the US) and the investment industry
  • Minimum of two to three years of statutory insurance (NAIC) investment accounting experience
  • Accounting or finance degree/qualified accountant


BENEFITS

SimCorp provides a range of benefits that may influence decisions regarding job offers. With operations in more than 30 offices globally, the benefits package can differ depending on the country. SimCorp implements a global hybrid work policy, requiring employees to be in the office two days per week and permitting remote work on other days. Additional information about location-specific benefits is available from the recruiter.

NEXT STEPS

Please send us your application in English via our career site as soon as possible, we process incoming applications continually.

Please note that only applications sent through our system will be processed.

At SimCorp, we recognize that bias can unintentionally occur in the recruitment process. To uphold fairness and equal opportunities for all applicants, we kindly ask you to exclude personal data such as photo, age, or any non-professional information from your application. Thank you for aiding us in our endeavor to mitigate biases in our recruitment process.

If you are interested in being a part of SimCorp and you can see yourself contributing and thriving in the position described above, but are not sure this role is suitable, submit your CV anyway.

SimCorp is on an exciting growth journey, and our Talent Acquisition Team is ready to assist you discover the right role for you. The approximate time to consider your CV is three weeks.

We are eager to continually improve our talent acquisition process and make everyone's experience positive and valuable. Therefore, during the process we will ask you to provide your feedback, which is highly appreciated.

For Toronto only: The salary range for this position is $84,000-$126,000 CAD base. Additionally, employees are eligible for an annual discretionary bonus and benefits including health and dental care, time off and Group RRSP/TFSA. Your total compensation may vary based on role, location, department and individual performance.

#LI-hybrid

Similar Jobs

More Jobs at SimCorp A/S

More Finance & Insurance Jobs

Find similar Senior Investment and Fund Accountant jobs: