Lead and optimize fund accounting services for private equity clients. Manage a team, ensure compliance with regulations, and enhance operational efficiency through innovative improvements in reporting and NAV processes.
Lead and enhance performance of private equity and debt portfolios, ensuring timely delivery of NAVs and financial reporting while fostering team growth and maintaining superior client engagement and service quality.
Transform the fund administration experience by delivering exceptional financial reporting and operational support for private market clients, specializing in real asset structures, while mentoring junior staff and driving process improvements.
Optimize front-end analysis for complex NAV production, enhancing efficiency across fund types with a focus on private equity and markets expertise while collaborating with cross-functional stakeholders to deliver clear business solutions.
Drive model risk management initiatives by validating quantitative models and ensuring robust performance monitoring. Collaborate with teams to communicate findings and support regulatory relations while enhancing credit risk decision processes.