Vista previa generada por IA
Trabaja como Contador de Fondos - Equipo Reconocimiento NAV en BNP Paribas, Varsovia. Modalidad híbrida y desarrollo profesional.
Responsable de calidad de NAV, resolución de brechas y contacto con stakeholders. Se requiere 2 años de experiencia.
Fund Accountant NAV Recon Team
We are BNP Paribas S.A. (Branch in Poland), a part of BNP Paribas Group with 200 years of experience in banking. Since 2008, we are at the heart of Warsaw, and now we are also in a new location in Krakow. As Corporate and Institutional Banking (CIB), we offer financial solutions for corporate and institutional clients in a number of locations globally.
Our Securities Services business line is a multi-asset servicing specialist. We are an exciting, dynamic, and growing operations centre; therefore, we are looking for candidates who are willing to be a vital part of the expansion of BNP Paribas’ operational scope in Poland.
It’s our values that drive us forward and are a cornerstone of our business. We rely on our strengths, which include stability, responsibility, expertise, and being a good place to work
Fund Accountant NAV Recon Team
Depositary Fund Accounting is part of BSO global domain of BNP Paribas providing fiduciary services mainly to institutional clients. Our main goal is to produce fully independent NAV serving as a reference for verification of fund prices submitted to by Fund Administrators. Broad set of possible investments, that can be held in portfolio of our clients, creates perfect condition for getting familiar with all sorts of financial instruments and market practices. Along with improving accounting skills and balance sheet understanding, accountants interact with nearly all market players, building their great understanding on how financial markets operate in practice.
Requirements
At least 2 years of experience in Fund Accounting NAV calculation or 1 year in BNP Paribas FA department
Knowledge and understanding of various types of financial instruments (equities, bonds, ETD/OTC derivatives, corporate actions)
Understanding of fund industry and roles of various players on the market
Analytical skills and attention to details
Understanding of bookkeeping principles and fund accounting
Accountability and client focused mindset
Highly motivated and engaged
Good communication skills
English on advanced level (C1)
German knowledge would be an asset
Knowledge of Multifonds accounting systems and Bloomberg would be an asset
Responsibilities
As a member of NAV Recon Team, you will be responsible for :
Controlling quality of NAV – daily reconciliation of NAVs calculated by administrators and custodian
Daily confirmation for mutual funds and funds with subscription/ redemption
Regular official confirmation for all funds calculated in Frankfurt Fund Accounting domain
Investigation and resolution of complex breaks to secure correctness of NAV
Acting as an SME and point of contact for various stakeholders
What we offer
Hybrid work mode, 50% working from home within a month
Equivalent for remote work expenses (120 PLN per month)
Stable employment in the international company
Fully paid private medical care for employee
Pre-paid lunch card
Employee Pension Plan
Co‑financed Multisport Card
MyBenefit Cafeteria Platform
Life insurance
Car parking availability in the office building
Trainings and development opportunities
ACCA/CFA Certification co-financing