New York, NY
The individual will support the FP&A Division for an Alternative Asset Management Company based out of Manhattan, New York. The role consists of forecasting, extracting vital information from various databases, and implementing a vision to fulfill quarterly expectations. This role reports directly to the controller.
•Prepare monthly reports for the leading funds to determine liquidity needs and timing of investor capital calls/distributions
•Support internal/external audit requests and data compilation as required
•Prepare quarterly FP&A records and report current/projected performance for shareholders and investors.
•Report specific analysis as requested by department lead
This position offers excellent opportunities in a rapidly growing. To qualify, candidates must possess:
•2-3 years of financial planning and analysis experience
•Ability to navigate swiftly through Excel and Outlook are a must
•Excellent analytical skills
•Understands the financial markets and its components
•Bachelor’s Degree in Accounting, Statistics, or Finance
•Ability to work in a fast pace environment.