Key responsibilities
Accounting, Reporting & Reconciliations for various invested asset classes.
Team Handling
Investigate, resolve, and reconcile outstanding balances/ items.
Analyze, research & review all discrepancies.
Plan workflows for all deliverables in advance of month/ quarter end.
Analyze and report interrelationships of financial information.
Support financial analysis/reporting and research of outstanding items.
Self-Starter & Self-motivated, well organized, and adaptable with a sense of urgency approach
Ability to find creative and cutting-edge solutions to business problems.
Robust organizational and project management skills.