Job Summary:
- Contribute to teams responsible for the accounting and operations (back and middle office) functions of the funds, including NAV generation, regulatory filings, financial statement preparation and operational maintenance.
- Responsible for assisting in the generation of monthly, quarterly and annual financial reporting to various regulatory agencies.
- Responsible for assisting the generation of shadow NAV’s for each fund, along with daily and monthly tie-outs with Citco Fund Services, the funds administrator.
- Responsible for building audit schedules used to generate the funds’ annual financial statements.
- Detect, design and implement improvements in the execution, clearing and reconciliation functions of the funds, which includes confirming broker margin calculations, confirming fee calculations with global exchanges and communicating with various prime brokers to correct any inaccuracies.
- Perform, document and analyze the competency of third-party investment managers’ accounting, compliance and oversight functions, as well as assist in the generation of monthly NAV’s for all separately managed account investments.
- Operate in a proprietary software environment designed to assist in the reconciliation and monitoring of fund exposures.
- Identify inefficiencies in capital allocation, margin management, financing spreads and other key financial metrics.
- Utilize 3rd party vendor data and systems to integrate internal programs to external data sources.
- Analyze the financial statements of the fund and of the underlying fund investments within the portfolio.
- A hybrid (in-office and remote work) arrangement is available. (Candidate may work from home 1-2 days per week.)
Education/Requirements:
- Bachelor’s Degree in Accounting, Economics, or related field and 18 months of experience in public accounting; 12 months of experience with the following: utilizing financial metrics of investment accounting; with dataset management, including usage of automated query tools; working with financial markets; producing, reviewing and analyzing financial statements; and with regulatory reporting requirements within the investment management industry.
Contact:
Please apply via https://www.scm-lp.com, reference #436740
Top Skills
What We Do
Stevens Capital Management LP (“SCM”) is a quantitative hedge fund manager specializing in the rigorous development and disciplined implementation of empirically based trading strategies. We employ a variety of statistical methods and techniques using our robust technology and data infrastructure. We operate a 24 hour low-latency global operation trading liquid futures contracts, currencies and equities, using automated proprietary execution algorithms. Our flagship fund has been in business for more than 30 years.
SCM actively seeks candidates for career opportunities in quantitative financial research and C++ development.
Important Disclosures:
Stevens Capital Management LP (“SCM”) has no control over third party sites such as LinkedIn. You should review the terms of use and policies of LinkedIn.
The information presented in this profile is for recruitment or employment purposes only. Under no circumstances should any material on this profile be used or considered as an offer or solicitation of any potential clients or investors for any investment funds managed by SCM. No material listed in this profile is or should be construed as investment advice, nor is anything in this profile an offer of solicitation to buy, hold, or sell any security or other instrument. Material on this profile is not provided in a fiduciary capacity. SCM does not have editorial control over the people, including employees, that link to this page. SCM does not accept endorsements or recommendations. Although users may follow this account, this should not be interpreted as a testimonial regarding any experience with SCM.
SCM reserves the right to amend these terms at any time.







