Associate, Fund Finance

Posted 2 Days Ago
Be an Early Applicant
Charlotte, NC, USA
In-Office
Mid level
Financial Services
The Role
Oversee fund expense administration, vendor billing and payments, expense ratio analyses, fund reporting, audits, and regulatory filings. Support fund launches, mergers, and conversions while improving controls, data processes, systems integration, and reporting efficiency. Maintain operational data, documentation, and SharePoint resources, collaborate with service providers and auditors, and identify risks and process gaps. The role requires strong financial analysis, attention to detail, stakeholder communication, and asset management experience.
Summary Generated by Built In
Job Description:

The Associate, Fund Finance position will be part of the Fund Expense Administration subgroup, which is responsible for critical functions centering around fund expense administration and oversight, including budgeting, vendor payments, and internal and external reporting.  This role actively works with individuals throughout the firm, third-party service providers, and external auditors to provide information and meaningful insights. This position will be responsible for proactive enhancement of current processes, strengthening of controls, and building new efficiencies in data intake, organization, and visualization.

Duties & Responsibilities:

Fund Expense and Reporting Oversight

  • Oversees service provider billing workflow from invoice receipt through accurate and timely payment.
  • Develops strong understanding of all vendor contract obligations, policies, and rates.
  • Assists with monthly analyses of expense ratios, caps, and waivers.
  • Contributes to the preparation and review of essential internal and external deliverables, including fund prospectuses and reporting presented to our North American Fund Board.
  • Participates in various business initiatives, such as new fund launches, mergers, and conversions.
  • Identifies opportunities to increase the efficiency and effectiveness of processes through new technology, data manipulation, systems integration, and innovative thinking.
  • Maintains numerous components that are critical to the team’s operations, such as data tables, procedures, SharePoint lists, and process documentation.

Financial & Regulatory Reporting Oversight

  • Assists with annual and semi-annual requests from external auditors.
  • Supports the review of various regulatory filings, including but not limited to, annual and semi-annual N-CSR (including Tailored Shareholder Reporting), N-CEN, 24F-2, N-PORT, Form PF and Form CPO-PQR.

Qualifications:

  • Bachelor’s Degree in Finance, Accounting, Business, or related discipline.
  • 3+ years of experience in the financial services industry with asset management product experience (mutual funds, ETFs, hedge funds, and private funds). Fund accounting knowledge a plus.
  • Prior experience working for and/or closely with third-party service providers.
  • Exceptional professional verbal and written skills; must be able to articulate clear point of view on technical matters in concise and meaningful communications with various levels of the organization.
  • Builds and maintains effective working relationships with internal stakeholders and third-party service providers.  Highly motivated, participative, and collaborative team player with strong interpersonal skills.
  • Capable of effectively managing and delivering on multiple deadlines while using sound judgement.
  • Strong analytical and critical thinking skills.
  • Ability to identify areas of risk, inefficiencies, and operational gaps to develop possible resolutions.
  • Effectively balance working efficiently and investing the time required to complete tasks in a controlled manner.
  • Strong attention to detail and comfortable working with large amounts of data.
  • Demonstrated ability to handle confidential, sensitive, and non-public information with discretion.
  • Understanding of electronic payments is a plus (fed wires, SWIFT payments, etc.)

Preferred Knowledge, Skills, and Abilities

  • Experience with Microsoft tools (intermediate to advanced Excel skills) and Business Intelligence solutions to create efficient, well-controlled processes (e.g. Alteryx, Power BI, Power Automate).
  • Proficiency in computer programming, database administration (e.g., SQL; Python, Tableau) and Visual Basic for Applications (VBA).

This role is not eligible for immigration sponsorship.

#LI-Hybrid

    

Dimensional offers a variety of programs to help take care of you, your family, and your career, including comprehensive benefits, educational initiatives, and special celebrations of our history, culture, and growth.

It is the policy of the Company to provide equal opportunity for all employees and applicants.  The Company recruits, hires, trains, promotes, compensates, and administers all personnel actions without regard to actual or perceived race, color, religion, religious practice, creed, sex, sex stereotyping, pregnancy (which includes pregnancy, childbirth, and medical conditions related to pregnancy, childbirth, or breastfeeding), caregiver status, gender, gender identity, gender expression, transgender identity, national origin, age, mental or physical disability, ancestry, medical condition, marital status, familial status, domestic partnership status, military or veteran status or service, unemployment status, citizenship status or alienage, sexual orientation, status as a victim of domestic violence, status as a victim of stalking, status as a victim of sex offenses, genetic information, political activities or recreational activities, arrest or conviction record, salary history, natural hairstyle or any other status protected by applicable law except as otherwise required or permitted by law or regulation applicable to the Company or its affiliates. 

Skills Required

  • Bachelor’s degree in Finance, Accounting, Business, or a related discipline
  • 3+ years of experience in the financial services industry
  • Experience with asset management products, including mutual funds, ETFs, hedge funds, or private funds
  • Prior experience working for or closely with third-party service providers
  • Exceptional professional verbal and written communication skills
  • Strong relationship-building, collaboration, and interpersonal skills
  • Ability to manage multiple deadlines and use sound judgment
  • Strong analytical and critical thinking skills
  • Ability to identify risks, inefficiencies, and operational gaps and develop resolutions
  • Strong attention to detail and comfort working with large amounts of data
  • Ability to handle confidential, sensitive, and non-public information discreetly
  • Intermediate to advanced Microsoft Excel skills
  • Experience with business intelligence solutions such as Alteryx, Power BI, or Power Automate
  • Proficiency in computer programming or database administration, such as SQL, Python, or Tableau
  • Proficiency in Visual Basic for Applications (VBA)
  • Fund accounting knowledge
  • Understanding of electronic payments, including Fedwire or SWIFT payments

Dimensional Fund Advisors Compensation & Benefits Highlights

The following summarizes recurring compensation and benefits themes identified from responses generated by popular LLMs to common candidate questions about Dimensional Fund Advisors and has not been reviewed or approved by Dimensional Fund Advisors.

  • Wellbeing & Lifestyle Benefits Work–life balance is portrayed as notably strong and is often framed as part of the total package. Feedback suggests lifestyle and culture help offset only average cash levels for many roles.
  • Healthcare Strength Health coverage is described as comprehensive, including medical, dental, vision, mental‑health support, and HSA/FSA options. An on‑site clinic in Austin and wellness programs are cited as meaningful adds to the overall offering.
  • Leave & Time Off Breadth PTO and holidays are characterized as generous, with parental leave and adoption assistance highlighted as part of the package. Feedback suggests time‑off policies are a consistent bright spot across locations where available.

Dimensional Fund Advisors Insights

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The Company
HQ: Austin, TX
1,490 Employees
Year Founded: 1981

What We Do

Dimensional is a leading global investment firm that has been translating academic research into practical investment solutions since 1981. Guided by a strong belief in markets, we help investors pursue higher expected returns through a systematic investment process that integrates research insights with advanced portfolio design, management, and trading while balancing tradeoffs that can impact returns. Dimensional is headquartered in Austin, Texas, and has 14 global offices across North America, Europe, and Asia. As of March 31, 2022, Dimensional manages $659 billion for investors worldwide.

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