Fund Analyst Job Description
Fund Analyst Duties & Responsibilities
To write an effective fund analyst job description, begin by listing detailed duties, responsibilities and expectations. We have included fund analyst job description templates that you can modify and use.
Sample responsibilities for this position include:
Fund Analyst Qualifications
Qualifications for a job description may include education, certification, and experience.
Licensing or Certifications for Fund Analyst
List any licenses or certifications required by the position: CFA, MBA, ACCA, PMI, IAQ/IOC
Education for Fund Analyst
Typically a job would require a certain level of education.
Employers hiring for the fund analyst job most commonly would prefer for their future employee to have a relevant degree such as Bachelor's and University Degree in Finance, Accounting, Business, Economics, Education, Business/Administration, Engineering, Graduate, Management, Communication
Skills for Fund Analyst
Desired skills for fund analyst include:
Desired experience for fund analyst includes:
Fund Analyst Examples
Fund Analyst Job Description
- Work closely with the Financial Reporting team to provide expense support
- Prepare prospectus fee tables and provide explanations to management for any significant changes from the prior year
- Work with members of the sales and origination teams in client discussions to ensure the desired outcome is achieved and expectations are managed
- Liaise with internal and external legal counsel around transaction structuring and documentation
- Develop a deep understanding of the credit underwriting and risk modelling process
- Assist with research, analysis and credit underwriting relating to both existing and proposed transactions
- Strong numeracy and an analytical mind
- Highly articulate and organised with strong attention to detail
- The ability to handle a fast paced working environment
- Experience within legal or professional services will be well-regarded
- Strong written and oral communication skills are extremely important, as communication with Financial Advisors and Clients is an essential function of the Hedge Fund Research group
- Must be a team player and desire to work in a collegial environment
- Minimum 2-4 years financial industry experience with an emphasis on US mutual fund processing
- SWIFT knowledge preferred
- Language skills in French or German is considered a plus
- Progress towards a recognized accounting or industry designation preferred
Fund Analyst Job Description
- Provide client service support to internal clients in Asian offices/ groups retail and institutional sales team in China, Hong Kong, Malaysia, Singapore and Taiwan
- Organize the year-end audit process and work with external auditors to resolve issues within the funds
- Assist with and perform financial analysis within affordable multi-family syndication and property level financial models
- Monitor the performance of property investments through the review of reports prepared by asset management and address discrepancies in conjunction with the preparation of quarterly reports to corporate investors
- Review and analyze partnership tax returns, internal reports and operating proformas
- Interact with asset management, accounting and acquisitions departments
- Report to investors on a quarterly basis on the performance of their portfolio of property investments
- Assist Fund managers and senior management with special time sensitive projects
- Fund Expenses, request and validate additional fund expense data from business partners and other financial institutions
- Oversight of the confirmation process for various financial instruments held within the Russell Funds as part of each fund's annual audit process
- Industry, accounting or other recognized accredited program would be an asset
- Due to countries coverage, business language proficiency in Mandarin and/or Bahasa Melayu is highly preferred
- Strong Excel skills and keen attention to detail are a must, the common sense ability to look at aggregated data
- Knowledge of basic Visual Basic and Java code
- Minimum of 2 years of Fund Accounting experience required
- 2 to 5 years of accounting experience is preferred
Fund Analyst Job Description
- Evaluating funds to be included in portfolios
- Performing investment research
- Analyzing and monitoring investments
- Performance analysis and mutual fund modeling
- Posting trades into system
- Producing material for client presentations
- Working with various custodians
- Ensure all transactions
- Monitor each portfolio daily to ensure that cash, security, and unit positions correctly reflect the client’s holdings
- Ensure corporate actions are entered into the system and reflect all relevant securities and tax regulations
- Assist oversight team in the due diligence activities (Investment Management, distribution and KIID production)
- Preparation and set-up of the internal system monitoring tool controls
- Investment objectives and policy monitoring
- Monitoring of provisions contained in the Investment Management Agreements
- Risk Management (Leverage, Market and Counterparty Risk) monitoring as per the provisions of AIFMD, CSSF Circular 11/512 and the ESMA guidelines
- Escalating investment compliance issues and breaches in a timely manner to the Compliance Specialist
Fund Analyst Job Description
- Prepare and analyze reports to ensure compliance requirements are met
- Assist on foreign custody registration process on behalf of the US Russell fund products
- Valuation Support - Retrieving and tracking portfolio company valuations and inputting into industry-specific applications (Private I)
- Audit and Tax Support - Maintain schedules for cumulative tax withholding, consolidation, puttable financial obligations, and others as required
- Cash Management - Preparation of wire instructions, cash projections and reconciliations
- Client Service - Act as a point of contact/liaison with investors, portfolio managers, administrators and custodians for Fund Administration as it relates to the day to day operations for the funds
- Coordinate and prepare the components of the financial statements for which the Fund Complex Team is responsible
- Support client service role to PCS, Legal, and the Investment Division
- Evaluate investment restrictions for compliance testing
- Take ownership in the account take-on process and ensure compliance systems are updated appropriately and on-time
- Experience in Fund Compliance /Fund Audit/ Finance position in the Banking Industry area is a plus
- Very Good working knowledge of Excel, knowledge of Visual Basic and Bloomberg would be a plus
- Adaptability and flexibility to work flow
- The suitable candidate will be analytical with strong modelling skills and the ability to present ideas and analysis clearly, often within tight timeframes, and with a careful attention to detail
- Liaising with a large number of people internally and externally will require the successful candidate to be a good team player and natural cultural fit within the firm
- The candidate will have prior working experience as a financial analyst in an investment company, an investment bank or a corporate strategy environment, may have gained experience within a top tier accounting firm and will ideally have gained an accounting or CFA qualification in the process
Fund Analyst Job Description
- Identify, track, resolve and report compliance breaches in-line with internal policy and regulatory requirements
- Assist in other compliance related portfolio monitoring, including aggregate ownership limits
- Develop effective working relationships with other functional areas for timely receipt of information required for the completion of tasks
- Provide a high quality timely service to customers
- Working Relationships / Contacts
- Investment Compliance departments in London, Hong Kong, Japan and Korea
- Portfolio Managers, Portfolio Services Group
- Relationship Directors and Client Service Managers
- Compliance Systems Support
- Product Development teams
- Some experience of the private equity industry or investment trusts would be preferred, but is not essential
- Must work efficiently under pressure with minimal supervision
- 1-3 years of accounting experience or education in automated environment, including general ledger is preferred
- Working knowledge of the mutual industry is considered as an asset
- Strong knowledge of Excel is a requirement
- Investment Administration