Associate, Genesis, Portfolio Operations
Full-time AssociateJob Overview
This is a vital role in ensuring MFS can calculate independent Net Asset Values of investment funds. A Portfolio Operations (PO) Associate will operate and oversee reconciliation and NAV review technology to deliver a full reconciled gross Net Asset Value to client operations teams or clients, including cash, positions, dividend & interest reconciliations.
An PO Associate will have a strong understanding of what drives the value of an investment fund, the types of products it trades and the nature of day-to-day operations between an investment fund and its counterparties, all alongside a keen interest in learning new technologies and skills
• Ensure client transaction processing is complete, corporate actions have been booked correctly & security pricing is accurate.
• Review pricing of portfolios, confirming securities such as equities, options, futures, bonds & OTC derivatives are priced correctly. Gather security prices from vendors such as Bloomberg & ICE when necessary.
• Operate and oversee reconciliation technology to deliver Investment Manager positions and profit & loss reconciliations.
• Perform NAV reviews, investigating what is causing changes in NAV from prior period.
• Support the new client onboarding processes.
• Liaise with custodians, brokers and other counterparties on an ongoing basis for break resolutions and process
improvements.
• Additional responsibilities may include oversight of reconciliation and data transmission technology.
• Provide great client service to all our clients be they internal or external.
• Respond to queries from clients in a timely and efficient manner.
• Ensure client SLAs are strictly adhered to.
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