【9月学员(多伦多)福利】银行职位内推
毕肯证券学院即将开设CSC证书冲刺班(Level 1 & 2),以网络或面对面的形式进行授课,通过快速梳理考试知识点,帮助学员理解各章节内容,在短时间内通过考试满足学校要求/取得证书。届时学院还将通过不定期邀请加拿大银行、高等院校、四大会计事务所、政府人力资源部门的专业人士,来帮助本地学员优化个人简历,强化面试技巧,提供企业内推机会。
本期为CSC课程学员相关职位内推如下:
Mutual Fund Accountant
Purpose of Job
Maintain and update accounting data to ensure all items are properly reconciled against records
Responsible for calculating daily Net Asset Value of the assigned Mutual Funds/Pools/ Classes in a timely and accurate manner
Prepare tax distribution reporting and financial reporting on a monthly/quarterly/yearly basis
Major Accountabilities
Proficiency in calculating Net Asset Value per share on a daily basis of the assigned funds
Reconcile general ledgers to subsidiary ledgers and escalate to Senior Fund Accountants/Assistant Manager for outages
Review and process transactions related to dividends, interest, corporate actions and trades instructed by traders/portfolio managers
Reconcile bank statements on a daily, weekly and/or monthly basis and communicate cash/trade/position outages with internal and external parties; resolve outstanding fund accounting issues in a timely manner
Review tolerance threshold breaks as outlined in the department policy and communicate any issues to Senior Fund Accountants/Assistant Manager for assistance.
Participate in problem solving sessions to identify problems and solutions
Assist in the preparation of audit reports, financial statements and tax distribution calculation
Complete ad-hoc requests as assigned by the Assistant Manager.
Education / Work Experience
University degree in accounting and finance
Working towards or completion in CSC certification is required
Prior mutual fund related experience is an advantage
CPA/CFA designation or active candidacy is an asset
Strong knowledge in Microsoft Office, such as Outlook, Excel, Access and Word
Excellent analytical and problem-solving skills
Strong communication skills, both written and verbal
Proven ability to work in a fast-paced and deadline driven environment
Must be flexible and available to work extra hours when required.
Senior Mutual Fund Accountant
Purpose of Job
Responsible for calculating daily Net Asset Value of the assigned “complex” Mutual Funds/Pools/Classes allowing investors to receive accurate return on their investments
Prepare tax distribution reporting and financial reporting on a monthly/quarterly/yearly basis
Train new hires as well as review and formalize functions performed by Fund Accountants
Major Accountabilities
Proficiency in preparing and processing complex fund structures and trading instruments to calculate NAV per share on a daily basis with limited supervision
Independently execute key centralized processes for the entire fund family, such as trades processing, multi-currencies capstock posting, expense calculation and end of day pricing cycle
Provide assistance to Assistant Manager in reviewing pre-NAV packages and final fund price packages submitted by Fund Accountants
Work closely with Assistant Manager to identify and resolve fund accounting related issues
Verify and review accounting postings completed by Fund Accountants and reconcile against Custodians/Brokers for accuracy and reasonability
Assist in reviewing cash and portfolio reconciliations between accounting and custodian records; provide first level review in reconciliation packages submitted by Fund Accountants
Ensure key controls are processed correctly and reviewed thoroughly on a daily basis to enhance consistency in service quality
Act as a liaison between business partners and Fund Accounting teams to provide timely responses on their inquiries
Provide training to Fund Accountants on their daily tasks and responsibilities; provide feedback to Assistant Manager on their developments in their current role
Provide support in the absence of Assistant Manager and to cover absences at all levels
Independently prepare semi-annual and year-end financial statements as well as monthly and year-end tax distribution calculation for assigned funds
Complete ad-hoc requests as assigned by the Assistant Manager or Manager.
Education / Work Experience
University degree in accounting and finance
Completion of CSC certification required
2 to 3 years of mutual fund related experience required
CPA/CFA designation or active candidacy is an asset
Proficiency in fund accounting systems, such as MCH and MPOWER, as well as knowledge in Bloomberg terminal
Strong knowledge in Microsoft Office, such as Outlook, Excel, Access and Word
Excellent analytical and problem-solving skills
Strong communication skills, both written and verbal
Proven ability to work in a fast-paced and deadline driven environment
Must be flexible and available to work extra hours when required.
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