Fund NAV Analyst - Accounting & Valuation

L3

citiColumbus, OHyesterday
Citi is seeking a Fund Accounting Intermediate Associate Analyst in Columbus, OH to support fund valuation activities and NAV calculations. The role partners with Operations - Transaction Services to ensure timely, accurate daily and periodic NAVs and unit prices for funds. The successful candidate will assist in monthly, quarterly, and annual reporting, coordinate data transfers with internal/external teams, and contribute to financial statements, regulatory filings, and board materials.
Apply now
Apply now

Level

JuniorL3

Location

Columbus, OH

Occupation

Financial and Investment Analysts

Industry

Portfolio Management and Investment Advice

Posted

yesterday

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