Full-Time

Fund Treasury Associate

AQR Capital Management

AQR Capital Management

501-1,000 employees

Global investment management firm offering alternative and traditional

Data & Analytics
Quantitative Finance
Financial Services

$110,000 - $125,000

Junior, Mid, Senior

Greenwich, CT, USA

Required Skills
Management
Financial analysis
Data Analysis
Requirements
  • Bachelor's Degree in Accounting required; CPA/Chartered Accountant/ACCA strongly preferred
  • 3-5 years maximum of experience in the investment management industry, Big 4 Public Accounting firm and/or relevant industry experience is preferred
  • Technical and business knowledge of hedge funds, other various Fund types a plus (e.g., mutual funds, collective investment trusts, UCITS and AIFs) and structures (Master/Feeder, multi-class, etc.), as well as activities from an investment, operational, regulatory, accounting and financial reporting perspective
  • Strong financial reporting background required
  • Advanced understanding of accounting principles and procedures, including in-depth knowledge of U.S. GAAP
  • Strong analytical skills with ability to evaluate issues and propose and implement solutions, with consideration for all downstream implications
  • Ability to contribute in the development and enhancement of the team's technology initiatives and oversight processes and procedures to ensure continuous improvement and efficiency gains
  • Excellent written, verbal and presentation skills; ability to communicate in a clear and concise manner in any format or forum
  • Proactive attitude, commitment to continuous learning
  • Flexibility, strong organizational and time management skills
Responsibilities
  • Financial Reporting
  • Accounting Policy Oversight
  • Valuation Oversight
  • Expense Management
  • Distributor & Intermediary Management
  • Board Governance
  • Financial reporting oversight - contribute to the design and execution of procedures and controls that are intended to provide reasonable assurance that the financial reporting objectives are achieved, including ensuring financial statement filings are free of material misstatement due to errors or omission, and are certified, filed and distributed completely, accurately and timely to the appropriate regulators and investors. Responsible for the coordination of audit efforts with service providers and external auditors
  • Accounting oversight - contribute to the design and execution of procedures and controls that are intended to provide reasonable assurance that the accounting books and records are maintained accurately in accordance with the relevant generally accepted accounting principles, including implementation of accounting policies, design and implementation of NAV analytics, and oversight of expense and tax accruals
  • Vendor oversight - assist in managing vendors that contribute to the financial reporting process, including the fund administrators
  • Documentation of walkthroughs and risk assessments - perform and document walkthroughs of significant business processes that impact the financial reporting process. Design controls mappings and risk assessments that will be used as the basis for the financial reporting oversight model
  • Accounting Policy- follow developments in US GAAP and Lux GAAP relevant to the products' investments. Ensure that the implications to the AQR Funds of such developments are well understood and that our accounting policies remain appropriate. Provide financial analysis, guidance and counsel to management, as necessary, with regard to interpreting accounting/regulatory policy
  • Fund related initiatives - lead/participate in various Fund related initiatives as they arise
  • Manage Offshore Team - assist in managing the AQR Fund Treasury Manila team (Philippines); includes determining procedures and tasks to assign to the offshore team, and review of the work performed
  • Oversight of the preparation, review, and issuance of the annual (and liquidation) audited Financial Statements, and management of the audit process
  • Maintenance of financial reporting risk assessments and control mappings
  • Coordination and responses to internal commercial requests
  • Review of the accounting and financial reporting implications of non-standard transactions as well as changes to Fund Governing Documents and Side-letters

AQR Capital Management

AQR Capital Management

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AQR Capital Management stands out as a global investment firm that combines financial theory with practical application, providing services to a diverse range of clients including pension funds, insurance companies, and sovereign wealth funds. The company's commitment to delivering superior, long-term results is demonstrated by their rigorous testing and research-driven insights, which filter out market noise to focus on what matters most. Their leadership in both alternative and traditional strategies, grounded in economic intuition and firm-wide risk management, makes them a sought-after choice for investors facing financial challenges.

Company Stage

N/A

Total Funding

N/A

Headquarters

Greenwich, Connecticut

Founded

1998

Growth & Insights
Headcount

6 month growth

0%

1 year growth

5%

2 year growth

0%
INACTIVE