First-Point-of-Contact for our Private Equity and Real Estate fund structure clients in all Fund Accounting matters
Responsible for proper maintenance of fund accounting books of client portfolio, including supervision of fund accounts
Opportunity to build cross-location structures in collaboration with our Irish and Swiss offices
Ensure NAV production / delivery, including bookkeeping of transactions (drawdown and distribution notices, invoices, );
valuation / review of investments (being the NAV received from the underlying funds or the fair value of the underlying companies as calculated by an independent evaluator-
cash flow method / multiples / comparables / ); reconciliation of cash and stock against the custodian’s bookings or underlying administrators' reports;
review and understanding of contracts and agreements related to the PERE transactions; year end closing balance process;
liaising with auditors for the review of the annual or semi-annual (if required) report; production / review of consolidated financial statement under different GAAPs.
Liaise with internal departments and clients, including first point of contact for client in relation to all issues linked to operations (operations service delivery);
understand client business, service needs and validate client requirements; build and maintain effective working relationships with internal and external stakeholders;
pro-actively identify and manage service issues and ensure timely communication to the client; identify and work towards opportunities to improve effectiveness and efficiency of operational processes;
represent operations processes internally and externally during client visits for operational service review; provide detailed SME knowledge to the client.
Support Sales Channel / Fund Structuring and assist on-boarding team, including review of drafts of funds' issuing documents;
meetings / calls with client / lawyer / advisors for structure review; draft of the first operating memorandum (follow up by on-
boarding manager / CAM); operational meeting with clients and other stakeholders in order to ensure the proper workflow.
Participate in (IT) projects for this area.
Coach, train and develop (new) team members.
Several years of successful leadership experience in the asset servicing industry, with profound knowledge of the whole range of business processes
Knowledge of the regulatory framework and the ability to implement the required changes into the operations processes
Profound knowledge of the fund accounting processes, i.e. in the area of private equity and real estate, combined with expertise in the related IT applications (e.g. Investran)
Leader, motivator and coach for his / her staff and team leads
Track record in project management with focus on implementation
A university degree in business administration or relevant diploma (e.g. ACCA, CFA) a plus
Very good capacity of conceptual, analytical and strategic thinking
A versatile, solution-oriented mind with excellent interpersonal / communication skills
Excellent English, German and French a strong plus
Credit Suisse is an equal opportunity employer. Welcoming diversity gives us a competitive advantage in the global marketplace and drives our success.