Fund Operations Manager
As a Manager within Fund Operations, you will lead a team of analysts performing daily / monthly review of components of NAV (Net Asset Value), and ETF basket creation processes. You enjoy working in a dynamic, high volume and fast-paced operations environment and be an integral part of managing a team!
The Expertise and Skills You Bring :
- Strategic problem solver.
- Encourage and empower others.
- Focus on innovation and driving change initiatives.
- Develop talent.
- Lead by example.
- Build key partnerships.
- Collaborator.
- Get results.
- Strong understanding of accounting principles and regulations, financial markets, ETF industry, as well as knowledge of mutual funds.
- Strong capability to form relationships, provide clear direction, and build effective teams.
- Interpersonal skills and an ability to work horizontally and vertically within the organizations.
- Values and rewards contributions, drive, initiative, and achievement of results.
- Coordinates and manages departmental workflows.
- Participates in and executes strategy and initiatives set forth by senior leadership.
- Works to recommend changes to systems, processes, responsibilities, and reporting.
- Coordinates testing of new technology prior to roll out into production and reports results to peers and managers.
- Provides technical leadership and act as a technical resource to group, as well as, other areas of Fidelity.
- Monitors and assesses the department's control environment; identifies potential issues and their impact on internal controls and drives a course of action to mitigate risk.
- Raises operational incidents to senior management and Risk team; manages resolution process.
- Leads and maintains relationships with business partners and expectations of service levels.
Note : Fidelity will not provide immigration sponsorship for this position.
As part of Fidelity's Fund and Investment Operations (FFIO) business unit, the Fund Operations division provides accounting and pricing services to all Fidelity Retail and Institutional products, including books and records maintenance, securities' pricing, and NAV, yield, and distribution rate calculations. The Fund Accounting department performs the daily pricing and bookkeeping for retail funds and institutional funds within FFIO. Would you like to be a part of this innovative team?