Job Description

Key Responsibilities


  • Reconciliation of transactions and Valuation KPIs of portfolio investments and flagging the breaks
  • Reconciling the Capital Account Statement with Monthly Notices and updating the documents.
  • Review of Management fees, Carried interest, Performance/Incentive fees.
  • Preparation, reviewing and reconciling Fund portfolios and entering Capital calls, Distribution, and valuations.
  • Analyzing complex forms of financing such as Collateralized debt-obligations, syndicated loans, and Mortgage-Backed Securities.
  • Interest Notices calculation, Preparations, and review.
  • PPN Tracking calculations to ensure correct allocation of specific deals to noteholders.
  • Provide QC support to TL and ensures quality delivery. Assisting TL on maintaining trackers/quality control mechanism.
  • Review of financial statements on a quarterly, semi-annual, and annual basis for various privat...

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