Northern Trust

Specialist, Fund Administrator, Hedge Fund Services

Northern Trust$114K — $194K *
Finance & Insurance
8 - 10 years of experience
Job Overview by Ladders

Qualifications

  • 10+ years of accounting experience focused on financial reporting
  • Certified Public Accountant (CPA) credential
  • Bachelor's or Master's degree in Accounting
  • Proficient in Microsoft Excel
  • Knowledge of Workiva is preferred but not mandatory

Responsibilities

  • Oversee and ensure the accuracy of monthly NAV close activities
  • Review month-end SubLedger journal entries in Oracle ERP
  • Validate and oversee reconciliations between systems for completeness
  • Review and maintain monthly financial packages for accuracy
  • Monitor and assess prior-period postings for materiality issues
  • Supervise quarterly and year-end reporting for compliance with U.S. GAAP and IFRS
  • Serve as a senior problem solver for complex financial reporting issues

Benefits

  • Balanced hybrid working model for flexibility
  • Comprehensive retirement benefits including 401k and pension
  • Health and welfare benefits including medical, dental, and vision
  • Paid time off along with parental and caregiver leave
  • Life and accident insurance
  • Discretionary bonus program with potential equity component
Full Job Description

Overview

Oversees end-to-end fund administration, investor accounting, and financial reporting for a multi-billion dollar hedge fund client, leading daily and month-end NAV close activities across transaction systems, the SubLedger, investor accounting platforms, and Oracle ERP/FS. Manages journal entry processing, accrual support, and automated/manual reconciliations (SubLedger-to-Oracle and NAV-to-GL), ensuring timely issue investigation, documentation, and resolution and maintaining strong controls and segregation of duties.

Oversees monthly financial packages and investor allocations (including management fees and performance allocations) and leads quarterly and year-end financial statement deliverables across U.S. GAAP, IFRS, and Broker Dealer requirements in partnership with clients and external auditors. Serves as a senior technical advisor and escalation point while driving documentation, training, resource planning, and continuous improvement initiatives to enhance quality, efficiency, and risk management.

Working Model: Hybrid

We have a balanced hybrid working model to ensure you get the flexibility you need, and the successful candidate will spend their time between working in the office and working from home.

Major Duties:
1. Oversee monthly NAV close activities, including controlling period close in transaction systems, monitoring/clearing suspense items, and ensuring daily transaction and position postings from source systems to the SubLedger are complete and accurate, and that related journal entries are generated and supported.
2. Review month-end posting of SubLedger journal entry summaries to Oracle ERP and perform/oversee automated reconciliations (including SubLedger to Oracle ERP) to validate completeness and accuracy; investigate, document, and resolve identified breaks.
3. Review and retain support for manual accruals/adjustments when instructed, including maintaining appropriate documentation and audit trail.
4. Review monthly financial packages (key financial statements and supporting schedules), maintaining evidence of review within the monthly close package.
5. Review NAV-to-General Ledger reconciliations (e.g., proprietary investor accounting system to Oracle ERP) and other automated reconciliations; research and resolve differences to closure.
6. Monitor and assess prior-period postings/adjustments for materiality and potential restatement implications; summarize findings and coordinate resolution with relevant parties.
7. Oversee quarterly and year-end financial reporting deliverables, including U.S. GAAP hedge funds (variety of strategies including fixed income, quantitative, equity, multi-strategy), IFRS international funds (Asia, UK, Ireland), and Broker Dealer entities; perform final quality control review and coordinate with auditors and stakeholders as required.
8. Review investor capital balances and profit and loss results, including management fee and performance allocation calculations in accordance with offering and/or governing documents; validate allocation outputs to feeder funds and investors.
9. Oversee posting of applicable investor accounting system-generated amounts to Oracle FS and perform reconciliations (final NAV to the SubLedger and to financial statements) to confirm completeness and accuracy; investigate and resolve breaks; ensure system-enforced segregation of duties is followed for any required manual profit and loss adjustments (input and approval).
10. Oversee investor letter generation and publication controls, including fund close authorization, client review/approval prior to distribution, and manual letter preparation where applicable within required timelines.
11. Serve as a senior problem solver, technical advisor, and escalation point for ambiguous, high-risk, or highly complex month-end close, investor accounting, and financial reporting issues, applying judgment informed by deep technical expertise and experience.
12. Independently identify risks, inefficiencies, and control gaps; design and drive solutions through influence and subject-matter leadership to improve accuracy, scalability, and sustainability across fund administration and financial reporting processes.
13. Serve as key point of contact with client for status of deliverables, reporting changes, audit feedback, and new implementations; coordinate and lead post-audit debrief meetings and project initiatives to drive quality and efficiency improvements year over year.
14. Develop best-practice process documentation and review procedures; assist in training and development of junior team members; support project planning, resource allocation, and prioritization of core financial reporting deliverables.

15. Participate in continuous improvement initiatives by identifying opportunities to streamline manual processes, leverage automation, and improve overall operational efficiency in fund administration activities.

Knowledge:

  • Strong technical accounting skills, including working knowledge of U.S. GAAP, IFRS, and Broker Dealer accounting and reporting standards
  • Excellent oral and written communication skills
  • In-depth functional and industry knowledge
  • Highly flexible and adaptable to change
  • Strong analytical, organizational, and problem-solving skills (solutions-oriented mindset)
  • Client relationship focused (internal and external relationships)
  • Ability to manage multiple tasks simultaneously and with accuracy
  • Ownership mentality with an innate commitment to continuous improvement
  • #LI-GG1
  • #LI-Hybrid

Experience & Qualifications:

  • 10+ years accounting experience with emphasis in financial reporting
  • Certified Public Accountant (CPA)
  • College/University or Master’s degree in Accounting
  • Proficient in Microsoft Excel
  • Workiva knowledge preferred but not required

Salary Range:

$114,700 - 194,900 USD

Salary range is a good faith estimate of base pay. Northern Trust provides a comprehensive benefits package including retirement benefits (401k and pension), health and welfare benefits (medical, dental, vision, spending accounts and disability), paid time off, parental and caregiver leave, life & accident insurance, and other voluntary and well-being benefits. Northern Trust also provides a discretionary bonus program that may include an equity component.

About Northern Trust

Northern Trust is a global leader in delivering innovative investment management, asset and fund administration, and fiduciary and banking solutions to corporations, institutions, and affluent individuals. They have evolved with the changing needs of their clients and their world.

Northern Trust Careers

Joining Northern Trust means becoming part of a global financial services institution that is dedicated to providing expert guidance and innovative solutions to its clients. At Northern Trust, we pride ourselves on fostering a culture of leadership, diversity, and innovation, which makes us a premier destination for career growth in the financial industry.

Work You’ll Do

At Northern Trust, you will collaborate with some of the most talented professionals in the financial sector. Our team is committed to excellence and equipped with a diverse range of skills that contribute to our dynamic environment. Here, you will have the opportunity to lead projects that transform our services and drive significant value for our clients across the globe.

Explore Job Opportunities and Internships

Whether you are starting your career or looking to make a significant impact in the financial industry, Northern Trust offers a variety of job opportunities and internships that will help you achieve your professional goals. From entry-level positions to leadership roles, our company is actively hiring individuals who are passionate, curious, and driven to excel.

Innovative Work

Northern Trust is at the forefront of financial innovation. Our employees are encouraged to think creatively and leverage cutting-edge technologies to solve complex problems. By joining our team, you will work on pioneering solutions that redefine the standards of financial services.

Be Part of a Great Team

Our team at Northern Trust is more than just a group of employees – we are a community. We value collaboration, and our culture is built on mutual respect and a commitment to diversity and inclusion. Working with us, you will experience a supportive network that is passionate about sharing knowledge and ideas.

Future-Proof Your Career

Northern Trust is dedicated to your professional development. We offer comprehensive benefits, diversity training, and numerous resources to help you grow your career. With our support, you can expand your skills, gain valuable experience, and achieve professional certifications that will enhance your career trajectory.

Stay Connected

Join Our Team

Discover the perfect role for you at Northern Trust by exploring our current job openings that match your skills and interests. We are looking for professionals who are solution-driven and eager to contribute to our legacy of financial excellence.

Keep Up to Date

Stay informed with the latest career tips, industry insights, and professional growth opportunities—all available through our careers blog. At Northern Trust, we ensure that our team members are always ahead in the industry.

Job Alert Emails

Customize your experience by subscribing to job alerts and insider tips tailored to your preferences. At Northern Trust, exciting and rewarding opportunities are always on the horizon, and we are eager to see where your talents can take us. Join Northern Trust today and be part of a company that values innovation, leadership, and a diverse and inclusive workplace. Here, every position is a chance to contribute to something bigger and to turn your job into a meaningful career.
Learn more about Northern Trust
Size
21,100 employees
Market Cap
$18.1 billion
Industry
Net Income
$1.2 billion
Founded
1889
5 Year Trend
+4.9%
Revenue
$6.1 billion
NASDAQ

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