W2 Contract :Senior Billing Specialist (AUM)

Ampstek

New York (NY)

On-site

USD 90,000 - 120,000

Full time

14 days+
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Job summary

A financial services company located in New York is seeking a highly skilled Senior Billing Specialist to manage end-to-end billing processes in the Asset Management industry. The ideal candidate will have over 8 years of experience in billing operations, with deep expertise in managing fee calculations and invoicing. The role offers a contract position with a focus on enhancing billing governance and automating workflows.

Qualifications

  • 8+ years in billing or revenue operations role in Asset Management or Wealth Management.
  • Strong understanding of fund structures and AUM feeds.

Responsibilities

  • Lead monthly and quarterly billing cycles across various fund structures.
  • Review management fees, admin fees and performance fees.
  • Perform reconciliations between internal books and record.

Skills

Attention to detail
Analytical mindset
Problem-solving skills
Communication skills

Tools

Revport
Workday Financials
Power BI
Alteryx

Job description

Senior Billing Specialist – Contract

Location: New York, NY (4 Days Onsite)

Job Description: We are seeking a highly skilled and detail-oriented Senior Billing Specialist with extensive experience in the Asset Management industry. The role requires deep expertise in managing end-to-end billing cycles, including fee calculation, AUM data aggregation, reconciliation, and invoice generation across a variety of fund structures and distribution channels. The ideal candidate has hands‑on experience with advanced billing tools, custodial platforms, and reporting systems, and can seamlessly translate complex fee arrangements into accurate billing outputs.

This individual will play a critical role in strengthening our billing governance framework, enhancing automation, reducing revenue leakage, and ensuring timely and error‑free invoicing for institutional, intermediary, and private wealth clients.

Responsibilities
  • Lead the monthly, quarterly, and annual billing cycles across mutual funds, SMAs, hedge funds, and private equity vehicles.
  • Review and calculate management fees, admin fees, performance fees, breakpoints, and waterfall structures.
  • Maintain and update client‑specific billing instructions, fee schedules, side letters, and negotiated terms.
  • Aggregate AUM/holdings data from multiple custodians (LPL, Schwab, Fidelity, Pershing, etc.) and ensure consistency with internal systems.
  • Perform in-depth reconciliations between:
    • Internal books & record
    • CRM/contract repositories
  • Identify and resolve discrepancies proactively to ensure accurate billing outputs.
Billing System Operations
  • Operate and enhance workflows in billing engines such as:
    • Revport
    • Workday Financials or Oracle/NetSuite billing modules
  • Configure rules, rate cards, fee tiers, client hierarchies, and exception logic in the billing platform.
  • Partner with technology teams to drive automation and reduce manual touchpoints.
  • Generate, validate, and deliver invoices for institutional clients, distributors, wealth platforms, and sub‑advisory relationships.
  • Coordinate with finance on revenue recognition and ensure alignment with GAAP and internal controls.
  • Maintain dashboards and MIS covering billed revenue, accruals, write‑offs, and client‑level profitability.
  • Serve as the subject‑matter expert for billing queries from clients, auditors, relationship managers, and compliance.
  • Enhance billing policies, documentation, SOPs, checklists, and control frameworks.
  • Contribute to continuous improvement initiatives, including workflow redesign and automation using tools like Power BI, Alteryx, Tableau, or Python‑based scripts.
Qualifications & Skills
  • 8+ years in a billing or revenue operations role within an Asset Management, Wealth Management, or Fund Administration organization.
  • Strong understanding of fund structures, AUM feeds, custodial platforms, and fee mechanics.
Technical & Tool Proficiency
  • Experience working with at least one major billing system (Revport,X Billing, Workday, Oracle, SAP, or custodian billing engines).
  • Familiarity with data extract and reconciliation tools: Alteryx, Power BI / Tableau.
  • Experience with document management or contract systems (e.g., Salesforce, SharePoint).
  • In-depth understanding of investment products (equity, fixed income, alternatives, SMAs, model portfolios, multi‑asset funds).
  • Strong command of fee structures: standard management fees, tiered breakpoints, performance fees, incentive fees, hurdle rates, distribution fees, platform fees, and negotiated institutional terms.
  • Knowledge of billing‑related controls, audit trails, and compliance requirements.
Soft Skills
  • Exceptional attention to detail and accuracy in a high‑stakes financial environment.
  • Strong analytical and problem‑solving mindset.
  • Ability to communicate clearly with internal teams, tech partners, auditors, and high‑value clients.
  • Ownership mindset with ability to thrive in fast‑paced, deadline‑driven environments.
Preferred Experience (Nice to Have)
  • Background in hedge fund or private equity fee calculations.
  • Exposure to custodial billing for platforms.
  • Experience in revenue assurance or fee leakage analysis.
  • Prior involvement in migration or system‑implementation projects for billing engines.

Seniority level: Associate

Employment type: Contract

Industries: IT Services and IT Consulting

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