Sydney Asset Management Permanent The role of Manager – Fund Accounting is a daily team oversight, client escalation, and client service delivery focused role. The Manager assists with achieving the service delivery of Fund Administration for Asset Manager, and Life and Super fund clients. They will have overall responsibility of ensuring all client deliverables are completed accurately and timely in accordance with SLA’s. The role acts as an escalation point for any daily issues when required. They oversee up to 10 fund accounting staff and have overall management for the individual team members, including performance review, on going training and career progression. The teams are responsible for the generation of accurate client reporting including: Fund Unit Pricing Regulatory and Statutory reporting Account Reports Reconciliation issues Candidates must possess strong knowledge in: Unit Pricing Calculations and Reporting Tax Reporting Distributions Calculations and Taxable Income Calculations Tax Returns BAS/GST Reporting Desired Experience/Qualifications: Client reporting including regulatory, statutory reporting and tax reporting Valuation and Accounting 4 years’ experience in fund accounting, unit pricing or custody and team management Technical knowledge of fund accounting, unit pricing, reporting and Tax and related operational risk and compliance requirements of the client service function Systems experience: Hi-Portfolio, PControl unit pricing system and MS Word & Excel Experience in the completion of MIS and client reporting