Our partner, a globally recognized leader in asset management, is expanding its Global Operations by opening a brand-new hub in Budapest. They are driven by a mission to deliver superior financial outcomes through disciplined investments and world-class service. To support this exciting expansion, we are looking for a highly motivated Reconciliations Analyst to ensure the seamless operation of Investment Accounting reconciliation processes across multiple asset classes.
Experience across the full spectrum of investment accounting and reconciliation processes (cash, position custody, and market value reconciliations).
Familiarity with reconciliation platforms (such as TriResolve) and a strong understanding of accounting standards.
A solid grasp of operational risk, control frameworks, and regulatory requirements within financial services.
Daily Reconciliations: Perform and oversee daily cash, position, transaction, and market value reconciliations (including IBOR, PBOR, and ABOR vs. IBOR) to ensure absolute data integrity.
Break Resolution: Proactively investigate, analyze, and resolve reconciliation breaks, escalating complex issues according to established control frameworks.
Cross-functional Collaboration: Work closely with internal teams (Corporate Actions, Pricing, Trade Support) and liaise with external service providers (custodians, fund accountants) to validate data and resolve discrepancies.
Process Optimization: Identify control gaps, recurring issues, or process inefficiencies, and actively participate in system enhancements and operational projects.
Regulatory Compliance: Adhere to internal policies and external regulatory requirements, ensuring all reconciliations are completed within defined SLAs.
Our Partner doesn’t just invest in markets, they invest in you. Expect a culture that values diversity and rewards excellence.