Hedge Fund Accountant - AVP

JPMorgan Chase & Co.

Dublin

On-site

EUR 90,000 - 120,000

Full time

3 days ago
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Job summary

JPMorgan Chase & Co. in Ireland is seeking a Fund Accounting Associate (AVP) to oversee the NAV production process and help ensure accurate, timely NAV calculations.

You will partner with Investor Relations, Compliance, Internal Audit, Private Equity and Real Estate, contributing to a strong control environment and an end-to-end NAV operating model. This role emphasizes collaboration and continuous improvement.

Qualifications

  • Experience performing fund accounting activities at associate level including NAV production.
  • Knowledge of alternative investment fund structures and valuation concepts.
  • Ability to interpret and apply complex instruments within NAV calculations.
  • Strong analytical and problem-solving skills including explaining NAV movements.
  • Strong client service mindset and ability to build relationships with internal/external partners.
  • Risk and control focus with attention to detail and adherence to processes.
  • Clear, professional written and verbal communication across sites.

Responsibilities

  • Oversee daily, weekly, ad hoc, and monthly NAV production and review cycles.
  • Calculate NAVs in line with procedures and quality standards.
  • Investigate and validate NAV movements and identify drivers.
  • Coordinate inputs and resolve inquiries across functions.
  • Maintain defined control environment and ensure adherence to processes.
  • Identify risks and implement remediation actions.
  • Contribute to end-to-end NAV operating model and governance.
  • Support team capacity planning and deadlines.
  • Assist with client due diligence visits and audit reviews.
  • Build strong relationships with stakeholders, clients, and third parties.
  • Improve processes and workflows to strengthen risk controls.

Skills

NAV production
Analytical thinking
Client service mindset
Risk and controls
Communication
Time management
Independent work
Deadline-driven

Education

Bachelor’s degree

Job description


Help shape the daily accuracy and integrity of fund valuations that clients rely on. In this role, you’ll sit at the center of the net asset value (NAV) production lifecycle, partnering across teams to resolve issues, strengthen controls, and improve outcomes. You’ll gain exposure to a broad range of alternative investment structures and complex instruments. You’ll also have the opportunity to build trusted relationships with stakeholders and contribute to continuous process improvement. Join us to do high-impact work in a collaborative, high-quality environment.

Job Summary:

As a Fund Accounting Associate (AVP) in the Fund Accounting team, you will oversee the NAV production process and help ensure accurate and timely NAV calculations in line with established procedures. You will partner closely with colleagues and managers to investigate and resolve issues to completion. You will collaborate across functions, including Investor Relations, Compliance, Internal Audit, Private Equity and Real Estate, and second line of defense partners. You will contribute to a strong control environment and help evolve the end-to-end NAV operating model. You will deliver a client-focused experience by building effective working relationships with stakeholders, clients, and third parties.

Job Responsibilities
  • Oversee the daily, weekly, ad hoc, and monthly NAV production and review cycles to support timely and accurate delivery.
  • Calculate NAVs in line with established procedures and quality standards.
  • Investigate and validate NAV movements, identifying drivers and resolving breaks.
  • Partner across functions to coordinate inputs, manage inquiries, and resolve issues in a timely, documented manner.
  • Maintain a defined control environment and ensure adherence to required processes and procedures.
  • Identify risks and implement remediation actions to mitigate inherent and residual risk.
  • Contribute to ownership of the end-to-end NAV operating model and associated governance.
  • Support team resource planning while coordinating with wider teams to meet production deadlines.
  • Assist with client due diligence visits and internal and external audit reviews.
  • Build strong relationships with stakeholders, clients, third parties, and other business groups across JPMorganChase.
  • Improve processes and workflows to enhance accuracy, reduce redundancy, and strengthen risk controls.
Required Qualifications, Capabilities, and Skills
  • Demonstrated experience performing fund accounting activities at an associate level, including NAV production and oversight.
  • Knowledge of alternative investment fund structures and valuation concepts.
  • Ability to interpret and apply the treatment of complex financial instruments within NAV calculations and NAV drivers.
  • Strong analytical and problem-solving skills, including the ability to investigate and explain NAV movements.
  • Strong client service mindset, including anticipating needs and building effective working relationships with internal and external partners.
  • Risk and control focus, including attention to detail and adherence to established processes and procedures.
  • Clear, professional written and verbal communication skills, including the ability to collaborate across multiple sites.
  • Strong organizational skills with a consistent focus on quality and precision.
  • Ability to work effectively in a fast-paced, deadline-driven environment.
  • Ability to work independently with strong follow-through and accountability.
  • Bachelor’s degree required.
Preferred Qualifications, Capabilities, and Skills
  • Degree in a business-related discipline.
  • Experience supporting alternative funds across multiple jurisdictions.
  • Experience partnering with Investor Relations, Compliance, Internal Audit, Private Equity and Real Estate, and second line of defense teams.
  • Experience supporting internal and external audit reviews and client due diligence activities.
  • Demonstrated ability to improve processes and workflows to reduce risk and increase accuracy.Experience supporting team capacity planning or coordinating work across broader teams.
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