Infinit-O isn’t just about business process optimization, we’re about people. For over 20 years, we’ve been helping some of the world’s fastest-growing companies in Financial Services, Healthcare, and Technology achieve multiple strategic advantages through data-driven solutions, high-performance teams, and cutting-edge technology. Our world-class Net Promoter Score of 75 reflects our commitment to excellence and client satisfaction.
But what truly sets us apart is our culture. At Infinit-O, we believe that diversity, equity, and inclusion are the foundation of innovation and sustainable growth. We embrace differences, empower perspectives, and create equal opportunities for everyone. Our people-first approach has earned us the Great Place To Work Certification three times, and as a B Corp Certified company, we’re dedicated to making a positive impact not just in business, but in the communities we serve.
With a highly engaged and innovative team, we don’t just optimize processes, we also create meaningful change.
What is the role that we need?
Key Responsibilities:Specific Duties and Responsibilities:
● Understand our clients and their strategies; analyze your assigned funds’ performance on a
monthly basis and follow the markets.
● Gain knowledge (through on the job training and research) of various securities including equities,
bonds, swaps, options, FX, mortgages, financing, and futures.
● Develop knowledge of accounting standards relevant to Investment Management
● Review and process all investor movements to ensure compliance with established procedures
and controls, our SLA requirements and the client’s formation documents.
● Accurately book investor activity into technology and ensure compliance with client’s formation
documents.
● Maintain thorough knowledge of industry standards and changes in regulation that affect investor
reporting/compliance.
● Review and price the portfolios in accordance with Firm and Fund pricing policies
● Reconcile cash account to statements identifying and resolving all differences.
● Reconcile positions/securities to broker statements.
● Research and resolve any differences between the accounting and broker reports.
● Establish and execute the processes and procedures.
● Establish and manage the achievement of Key Performance Indicators (KPIs)
● Monitor and evaluate all processes and implement improvement to ensure Customer’s clients
receive appropriate and high-quality services as committed.
● Perform daily and monthly auditing of work processes.
● Provide reports as agreed with Customer.
● Prepare and Review GAAP Financial Statements and maintain a general ledger.
● Calculate and Review Partner Allocations, Management Fees, Performance Fees, etc.
Requirements
Job Requirements and Credentials:
Essential (MUST HAVE)
Desired (Plus but not a requirement)
Qualifications, Education & Experience:
● Candidate must possess at least a Bachelor’s/College Degree in Accounting
● 5-10 years experience in Fund Accounting, preferably with a Hedge Fund Administration or a
Hedge Fund
● Strong knowledge on Derivatives (Futures, Swaps, etc.)
● Ability to work in a dynamic, fast-paced environment.
● Excellent English, oral and written, communication skills.
● Ability to follow procedures.
● Ability to meet assigned deadlines.
● A self starter who's able to work independently and as part of a team.
● Strong attention to detail
● Strong understanding of Preparation and Review of GAAP Financial Statements.
● Background with yearly audit process and testing.
● Strong understanding of Partner Allocations and Calculation of Management/Performance Fees.