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Guide the recruiter to the conclusion that you are the best candidate for the hedge fund analyst job. It’s actually very simple. Tailor your resume by picking relevant responsibilities from the examples below and then add your accomplishments. This way, you can position yourself in the best way to get hired. Craft your perfect resume by picking job responsibilities written by professional recruiters.
Hedge Fund Analyst Resume – experienced hedge fund analyst resume, hedge fund analyst resume, hedge fund analyst resume sample, a resume is a document, used to apply for jobs, which includes descriptions of your respective education, practical knowledge, abilities, and accomplishments. Your resume supplies a window into your history and is among the most important files in your job hunt. Hedge Fund Analyst Resume. To serve individual clients with their financial needs and to obtain a position as Hedge Fund Analyst in one of the largest financial institutions that offers a wide array of career opportunities. Bank of America Corp., Monitored investments made by the group and prepared reports on developments.
Pick from the thousands of curated job responsibilities used by the leading companies. Tailor your resume by selecting wording that best fits for each job you apply.
Providing onsite customer assistance in critical customer situations. Providing management with regular status and progress updates. Working across functional areas (support, development, marketing, field, etc.) within the company.
Assisting in Quality Assurance testing of new software releases. Building personal knowledge base of industry developments via trade journals, conferences, and educational opportunities. Developing specific knowledge base in one or more key application areas. Performing complex cross-functional tasks within professional service organizations.Proficiency with DS Match, MarkitWire/MarkitTradeManager, and eConfirm platforms preferred.Excellent people skills; ability to dynamically act as knowledgeable point of reference to co-workers domestically and internationally.Proficiency in Microsoft Word, Excel (ability to create macros).Excellent math and analytical skills.Strong organization skills, meticulous attention to detail.Understanding of the various transaction types within each asset class beyond ‘vanilla’ trades is preferred (e.g.
For IRS understanding of caps, floors, swaptions, etc.
DIVERSE EXAMPLESTailored for various backgrounds and experience levelsHedge Fund Accountants value a fund's assets, measure the ongoing costs, minimize tax consequences, and report their results to the investors. Key skills listed on Hedge Fund Accountants' sample resumes include collaborating with portfolio managers, sub-advisors, and brokers in an effort to resolve valuation discrepancies; and performing reconciliations of bank accounts, trade activity and holdings. Resumes that list completed coursework in the certified hedge fund professional designation may set candidates apart in a field such as this, which carries a higher level of competition. 3 Hedge Fund AccountantWorked in a team of 6 to deliver 80+ annual financial statements to international hedge fund clients.
Collected, analyzed, and consolidated raw investment data from multiple sources to create a coherent and polished final product. Managed priorities under high pressure to meet financial reporting deadlines.
Daily communications with clients and auditors. Heavy use of Microsoft Excel.
Constructed ad-hoc Excel solutions to benefit the team. Personally oversaw the successful delivery of the annual financial statements for 15 hedge funds. 4 Hedge Fund AccountantApplied comprehensive knowledge of investment strategies to compile fund accounting reports for a wide range of hedge funds, including equities hedge funds, fund of funds, master feeder structured funds, emerging market funds, and options-based funds. Liaised with investment manages, advisors, brokers, custodians, trustees and payment banks, auditors, and regulatory authorities throughout day-to-day operations. Coordinated with fund managers / custodians, quickly obtaining information for calculations and accurately resolving issues. Calculated daily, monthly, and quarterly NAVs based on NAV per share, verifying fees and commissions.
Provided comprehensive calculation training for new staff. Collaborated with team leaders to advance accurate, timely submission of daily NAV and monthly investment reports. Investigated and resolved cash/position breaks between custodians. Accurately posted fund transactions within accounting system.
Within first six months, selected to lead team accountable for providing daily calculation of new client hedge fund, supporting team members and ensuring accurate NAV calculations. 6 Senior Hedge Fund Accountant. Managed portfolio verification for hedge funds with assets over $500 million, utilizing knowledge of security types and fee structure to effectively allocate income to high net worth investors. Led four-person team focused on proper accounting practices for distressed securities, developing guidelines that decreased time spent on month-end processes by 20%. Strengthened client relationship by developing new control system to review unusual trades, identifying improvements to be made in client back office platform. 7 Senior Hedge Fund AccountantReviewed and signed off daily close packages (Financial Statements) for Hedge Funds and Fund of Hedge Funds. Trained new hire and junior staff, as well as peers on specific project implementation.
Liaised between investors, fund manager and the custodian brokers. Calculated performance fees, management and fixed fees based on each Fund strategy and Offering Memorandum. Developed an automated process for account reconciliation using excel instead of PDF reports, which dramatically improved timing and accuracy. 9 Hedge Fund AccountantTracking daily pricing on long and short bonds for best bid/offer prices for Managing Director. Balanced cash, checked account positions, unrealized and realized gains and losses, and interest accruals against prime broker reports.
Calculated monthly return/NAV. Reconciled to all the financial statements compiled by outside fund administrators and by prime broker's reports. Verified year end financial reports and tax returns submitted by the auditors. Managed company bills, wires and compile financials statement in QuickBooks to send to auditor.