Your responsibilities Build, test, and ship tooling that supports NAV, reconciliation, quarterly reporting, and other fund administration workflows.
Analyse fund, investment, and investor data using Python, SQL, Excel, and in-house tools to deliver reliable insights and reporting outputs.
Automate and improve operational processes, including reconciliations, regulatory filings, and control checks, with a focus on traceability, reliability, and auditability. Leverage modern AI-assisted developme…
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