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ETF Fund Accountant III

External
umb logoUmb · Milwaukee, WI
Full-timeOn-site3w ago
Compliance
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Requirements

  • MINIMUM :
  • Bachelor's Degree in one of the following Accounting, Finance, Investment Banking, Economics, or International Business
  • Four (4) years external Funding accounting or related experience or Three (3) and a half year of UMB Fund accounting experience.
  • Compensation Range:
  • $56,890.00 - $109,270.00
  • Are you ready to be part of something more?
  • If you are a California resident, please visit our Privacy Notice for California Job Candidates to understand how we collect and use your personal information when you apply for employment with UMB.
  • #LI-BW1

Benefits

Health insuranceDental insuranceVision insurance401(k)Flexible schedule

Additional Information

Duties & Responsibilities: Independently utilizes generally accepted accounting principles, Fund Accountant III's are responsible for all functions related to the daily calculation of the net asset value for multiple mutual funds. Fund Accountant III's are responsible for performing the accounting, pricing, review and reconciliation functions for multiple funds. The fund and/or security types increase in complexity with the tenure of the accountant. Oversee general ledger accounting functions for multiple funds Prepare and review preliminary trial balance and NAV calculation for multiple funds Monitor and analyze income and expense accruals to ensure GAAP compliance Analyze corporate action application for GAAP compliance Reconcile cash settlements to the custodian and prime broker records Reconcile position quantity to the custodian and prime broker records Investigate and resolve cash or position discrepancies by collaborating with the custodian, prime brokers, transfer agency, advisor, and/or portfolio managers/traders Review and resolve trade detail exceptions to ensure transactions are accurately reflected by collaborating with the advisor/portfolio manager or trader. Analyze security pricing exceptions to ensure proper prices are used in the calculation of the NAV Partner with various internal/external parties to ensure compliance with SEC regulations, IRS, and GAAP reporting regulations Coordinate audit materials as well as responses to audit inquiries Other duties as assigned.


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