MUFG Investor Services
Financial Services
FundAccountingSupervisor-NAVOversight
Neural analysis suggests this role is
optimal for mid candidates.
“Fund Accounting Supervisor - NAV Oversight at MUFG Investor Services. Skills: Fund accounting, NAV oversight. Review and approve NAV calculations. Resolve discrepancies”
Industry & Context.
What They're Looking For.
Must Have
Experience in fund accounting, Client-facing experience, Ability to work independently
Nice to Have
CPA/CFA (or in progress)
What You'll Do.
Review and approve NAV calculations
Resolve discrepancies
Calculate fund management fees
Calculate incentive fees
Review Investor Reports
Oversee fund allocation
Make investor distributions
Review annual audited financial statements
Handle ad hoc requests
Liaise with various departments
Full Job Description
About MUFG Investor Services: MUFG Investor Services is a trusted partner to many of the world’s largest public and private funds, providing asset servicing and operational solutions built for alternatives. With over $1 trillion in client assets under administration, we offer fund administration, banking, payments, fund financing, foreign exchange overlay, corporate and regulatory services, custody, business consulting, and more. Operating from 17 locations worldwide, we help clients mitigate risk, enhance efficiency, and navigate the operational complexities of today’s investment management landscape. As a division of Mitsubishi UFJ Financial Group (MUFG), one of the world’s largest financial institutions with approximately $3 trillion in assets, we combine deep expertise with the strength and stability of a leading financial institution. To learn more, visit us at [www.mufg-investorservices.com](http://www.mufg-investorservices.com/). Report to the Director, Business Process Outsourcing, Fund Accounting, and supervise a dynamic team within our expanding BPO - This role offers a meaningful opportunity to grow your career while gaining valuable insight into investment manager operations and processes. Key responsibilities include: * Review and approve Net Asset Value (NAV) calculations prepared by third-party administrators, ensuring accuracy and completeness, and resolving discrepancies as needed. * Calculate fund management and incentive fees according to the fund’s legal structure. * Review Investor Reports prior to distribution to the investors. * General oversight of fund allocation including making investor distributions, capital calls, annual audited financial statement review, and any ad hoc requests/inquiries from the investors. * Liaise with various departments to ensure accurate and on-time maintenance of funds. ## Qualifications Qualifications * Experience in fund accounting for alternative investment funds * Client-facing experience with proven relation
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