
Sr Subject Matter Expert-Reconciliation
- Mumbai, Maharashtra
- Permanent
- Full-time
- Adapt to challenges and opportunities within the Outsourced MBO line of business, including a 24-hour delivery cycle with various shifts.
- Drive an enhancement of our client’s experience by providing visionary guidance for the department's products and offerings.
- Design optimal workflows and standards for facilitating client deliverables across:
- Daily reconciliation of trades, positions, and cash against Prime Brokers, FCMs, ISDA Counterparties, and Custodians
- Proactive break resolution and communication for reconciliation breaks. Responding to break resolution emails from 3rd parties
- T+0 trade affirmation.
- Facilitating clearing and settlement of trades across asset classes.
- Cash and collateral management
- Processing of corporate action events
- Processing of position lifecycle events
- Position, P&L, and Cash Reconciliation against Fund Administrators
- Trial Balance Reconciliations against Fund Administrators
- Booking and maintenance of non-trading accrual and expense schedules
- Break resolution and Fund Admin communication for reconciliation issues
- Shadow accounting at the fund, share class, series, and investor levels
- Maintain and improve operational efficiencies across the organization
- Ensure the smooth, effective operation of the department including:
- Successful on boarding of new MBO Services clients
- Compliance to all accounting and operational procedures
- Proper daily product and service delivery
- Escalation and resolution of high exposure items
- Maintaining client satisfaction
- Develop and track operational KPIs for the line of business in accordance with objectives for the line of business as well as client SLAs
- Assist with improving and automating existing processes to mitigate risk and increase scalability
- Proactively monitor and manage capacity and help with forecasting in this area
- People Management Experience-Should have managed a small team- 2 to 5 members
- Should have worked with various financial products such as Structured Products, MBS, CDS, IRS, TRS, Bank Loans, CFDs etc.
- Fund Accounting experience
- Proficient in the use of Microsoft Excel and Word
- Ability to handle and prioritize multiple tasks and work independently
- Willing to work in shifts including APAC and EMEA.
- MBA preferred or relevant graduate degree from top-tier institution or similar academic / professional experience
- 9+ plus years minimum experience in Middle/Back-Office support role at Hedge Fund, Fund Administrator or Prime Broker