Vice President, Fund Reporting

BNY Mellon

$130K — $180K *
Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • 5-7 years of experience in financial reporting or accounting roles
  • Strong knowledge of U.S. GAAP and Regulation S-X
  • Experience managing small to medium-sized teams
  • Professional accounting designation (CPA, ACA, ACCA, CIMA) preferred
  • Background in fund administration, asset management, or Big Four firms

Responsibilities

  • Lead a Financial Reporting team in delivering financial statements for clients and funds
  • Ensure compliance with accounting and regulatory requirements during financial statement reviews
  • Oversee production of financial statements for complex funds while ensuring quality and controls
  • Deliver management reporting on team performance and operational risks
  • Review and verify the integrity of draft financial reports and supporting documentation
  • Collaborate with internal teams, clients, and auditors for effective delivery and issue resolution
  • Drive continuous improvement in processes and adopt AI-enhanced tools for efficiency

Benefits

  • Hybrid work model with 4 days a week in office
  • Opportunities for career growth and development
  • Collaborative and high-performing team environment
  • Focus on continuous service improvement
  • Support for the integration of innovative technology within financial reporting processes
Full Job Description
Job Description

We're seeking a future team member for the role of Vice President, Fund Reporting to join our Financial Reporting team. This role is located in Lake Mary, Florida and will be working in a hybrid capacity. (Currently 4 days a week in the office).

In this role, you will be successful and make an impact in the following ways:

  • Provide leadership to a Financial Reporting team responsible for delivering financial statements for assigned clients and funds, while driving performance, accountability, and execution against team priorities.
  • Oversee the review of financial statements to ensure compliance with applicable accounting and regulatory requirements, including U.S. GAAP and Regulation S-X, and lead the implementation of changes arising from evolving accounting and disclosure standards.
  • Direct the end-to-end production process for financial statements relating to more complex funds, ensuring high-quality output, strong controls, and adherence to delivery timelines.
  • Deliver meaningful management information and reporting on team performance, operational effectiveness, risks, and deliverable status.
  • Review and sign off on draft financial reports, account files, supporting calculations, and associated documentation to ensure integrity, accuracy, and control.
  • Partner effectively with internal teams, clients, auditors, and other external parties to support seamless delivery, issue resolution, and continuous service improvement.
  • Drive continuous improvement in Financial Reporting processes, structures, and controls, including identifying opportunities to enhance efficiency, accuracy, and scalability through the responsible use of AI and automation.
  • Evaluate and support the adoption of AI-enabled tools and process enhancements that strengthen reporting workflows, reduce manual effort, and improve overall team effectiveness.
  • Attract, develop, and retain talent by coaching and motivating team members, supporting career growth, and fostering a collaborative, high-performing team environment.
  • Act as delegate for the SVP when required, ensuring continuity of leadership, oversight of team deliverables, and support across the broader Financial Reporting function.
  • Proven experience managing small- to medium-sized teams of professional staff, ideally within a fund administrator, asset manager, asset servicer, or Big Four firm supporting investment industry clients.
  • Deep knowledge of accounting and financial reporting requirements, including U.S. GAAP, Regulation S-X, and the regulatory and structural considerations applicable to mutual funds, ETFs, 1940 Act funds, and 1933 Act products.
  • Strong organizational and execution skills, with a demonstrated ability to manage competing priorities, meet tight deadlines, and operate effectively in a high-pressure environment.
  • Bachelor's degree or equivalent combination of education and experience required; professional accounting designation such as CPA, ACA, ACCA, or CIMA strongly preferred.


Qualifications:

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