Fund Servicing Analyst

JPMorgan Chase & Co.

Manila

On-site

PHP 360,000 - 540,000

Full time

11 days ago
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Job summary

JPMorgan Chase & Co. in Manila seeks a Fund Accounting Analyst to help deliver daily net asset values by coordinating across teams and time zones.

You will support production workflows, respond to inquiries, and apply a disciplined, deadline-driven approach to daily deliverables. This role offers exposure to controls, process improvement, and risk reduction while building knowledge of clients' valuation and reporting needs.

Qualifications

  • 1 year of experience in fund accounting.
  • Ability to support time-sensitive daily production deliverables.
  • Strong attention to detail and accuracy.
  • Clear communication with global stakeholders.
  • Organized investigative approach to exceptions and reconciliations.

Responsibilities

  • Produce accurate and timely daily net asset values and respond to inquiries from internal business partners.
  • Monitor daily processing progress and follow up with global partners to support completion against agreed deadlines.
  • Partner with client service teams to research and resolve client inquiries, escalating issues when needed.
  • Follow documented procedures and controls to support high standards of accuracy and timeliness.
  • Perform daily oversight checks across the net asset value production workflow and investigate breaks or exceptions.
  • Support ad hoc tasks and projects, including process reviews and documentation updates.
  • Identify operational efficiencies and improvement opportunities to reduce risk and increase effectiveness.
  • Build and maintain working knowledge of assigned clients and their daily valuation and reporting needs.

Skills

Fund accounting
Attention to detail
Time-sensitive delivery
Communication with global stakeholders
Investigative approach to exceptions

Education

Relevant coursework in accounting/finance
Internships in accounting/finance

Job description

Make an impact in a fast-paced operations environment where accuracy and timeliness matter every day. You will help deliver essential fund valuation outputs by partnering across teams and time zones. This role offers hands-on exposure to daily production workflows, issue resolution, and continuous improvement. If you are detail-oriented, curious, and organized, you will have the opportunity to strengthen controls and reduce operational risk.

Job summary:

As a Fund Accounting Analyst in theFund Servicing team, you support the accurate and timely delivery of daily net asset values by overseeing key steps in the production workflow and coordinating closely with global partners. You apply a controlled, deadline-driven approach to daily deliverables while responding to inquiries and identifying opportunities to improve processes and reduce risk.

Job responsibilities
  • Produce accurate and timely daily net asset values and respond to inquiries from internal business partners
  • Monitor daily processing progress and follow up with global partners to support completion against agreed deadlines
  • Partner with client service teams to research and resolve client inquiries, escalating issues when needed
  • Follow documented procedures and controls to support high standards of accuracy and timeliness
  • Perform daily oversight checks across the net asset value production workflow and investigate breaks or exceptions
  • Support ad hoc tasks and projects, including process reviews and documentation updates
  • Identify operational efficiencies and improvement opportunities to reduce risk and increase effectiveness
  • Build and maintain working knowledge of assigned clients and their daily valuation and reporting needs
Required qualifications, capabilities and skills
  • 1 year of experience in fund accounting
  • Ability to support time-sensitive daily production deliverables in an operations environment
  • Ability to follow documented procedures and controls consistently, with strong attention to detail
  • Ability to communicate clearly with global stakeholders to resolve breaks, questions, and deadlines
  • Ability to apply an organized, investigative approach to exceptions and reconciliations
Preferred qualifications, capabilities and skills
  • Relevant coursework and/or internships in accounting, finance, or a related field
  • Experience supporting daily net asset value production or similar time-sensitive financial processes
  • Experience partnering with client-facing teams to resolve inquiries using documented investigation steps
  • Experience identifying process improvement opportunities and supporting operational risk reduction initiatives
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