Job Summary:
The Manager - Portfolio Operations oversees the operations team that is responsible for the following: data entry/management; reconciliations; loan transaction processing; fund accounting; and ad hoc reporting. They will work closely with the Operations team to ensure that all client deliverables, as set out in the relevant service agreement(s), are completed as required and will also act as the primary point of escalation for any issues raised
Essential Functions
General Responsibilities
- Manage the Operations team, ensuring agreed deliverables to internal and external stakeholders are met. Special project delegation support
- Security transactions capture, processing, pricing, corporate actions processing
- Serve as the escalation point for settlement and operational issues, providing leadership in issue resolution, engaging with trading counterparties as required, and escalating significant risks or concerns to the appropriate management level to ensure timely and effective outcomes.
- Deliver accurate daily, weekly and monthly position and cash reconciliations
- Work with brokers and investment managers to investigate and resolve reconciliation breaks
- Partner with internal accountants to ensure valuation integrity
- Assist with transparency reporting preparation
- Participate in discussions regarding enhancements to the team’s operating model, collaborating with internal and external partners to identify opportunities for improving processes, procedures, and overall operational efficiency
Managerial Responsibilities
- Manage team resource allocation, regular performance reviews, recruiting and training of Assistant Managers
- Conduct performance reviews for direct reports
Other Responsibilities
- Other job functions as required
Job Qualifications
- Qualifications: A university graduate with a degree in Finance, Accounting, Economics, Mathematics or similar. Professional public accounting qualification (CA, CPA, CGA, CMA or equivalent) preferred
- Experience: 5+ years’ experience in a similar or combined role working with complex securities and derivative products with detailed knowledge of trade booking, settlement, reporting & reconciliations
- Knowledge: High level of expertise and technical knowledge of alternative investment products, the offshore financial services industry including system technology, portfolio valuation, accounting, share transfer and registration, prime brokerage, financing and custody
Technical Requirements
- Solid working knowledge of all Windows applications including Excel to an advanced level and knowledge of fund accounting applications
- Minimum of 2 years’ experience working with FM3 software required
General Skills & Abilities Required
- Strong Communication Skills: Demonstrates clear verbal articulation, active listening, writing for clarity and purpose, adapting messages to diverse audiences and providing and receiving constructive feedback
- Workflow and Problem-Solving Acumen: Understands standard procedures and task sequences, anticipates dependencies, and applies structured approaches to identify, analyze, and resolve operational challenges efficiently
- Self-Driven Productivity: Demonstrates intrinsic motivation and perseverance, managing workloads independently while maintaining consistent quality and meeting objectives without external prompting
- Meticulous Attention to Detail: Maintains vigilance for accuracy, spotting inconsistencies or errors in tasks, documentation, and communications, ensuring outputs are precise and reliable
- Relationship and Client Orientation: Builds and sustains professional connections, interprets stakeholder expectations, and responds with empathy, respect, and service-minded adaptability
- Time Management and Prioritization Skills: Allocates attention and resources effectively, balancing multiple responsibilities, adjusting plans proactively, and meeting deadlines under dynamic conditions
- Interpersonal and Sociable Engagement: Navigates people-facing environments with confidence, fostering inclusive collaboration, empathetic communication, and positive rapport with colleagues and clients alike
- Adaptability and Flexibility: Quickly adjusts to changes in workflows, client needs, or organizational priorities while maintaining performance, resilience, and solution-oriented focus
- Critical Thinking and Decision-Making Capacity: Evaluates situations methodically, considers alternative strategies, and implements practical solutions that balance organizational goals and operational constraints
Terms
- Full-Time on-site role
- Compensation commensurate with qualifications and experience
Skills Required
- University degree in Finance, Accounting, Economics, Mathematics, or a similar field
- 5+ years of experience in a similar or combined role
- Experience working with complex securities and derivative products
- Detailed knowledge of trade booking, settlement, reporting, and reconciliations
- Technical knowledge of alternative investment products, offshore financial services, portfolio valuation, accounting, share transfer and registration, prime brokerage, financing, and custody
- Advanced-level Excel and solid knowledge of Windows applications
- At least 2 years of experience with FM3 software
- Knowledge of fund accounting applications
- Professional public accounting qualification such as CA, CPA, CGA, CMA, or equivalent
What We Do
Harmonic is an independent financial services firm specializing in the global alternative investments industry. We began with a vision of independent, non-conflicted fund services which would be client and investor driven. We embraced technology and paid particular attention to creating an institutional infrastructure while avoiding the pitfalls of a commoditized service sometimes accompanied with size. Harmonic attracts service-oriented professionals who are motivated, technically savvy, innovative, and thrive in a collegial environment. We foster a culture of performance and specialization, while our flat, cross-functional hierarchy promotes internal and external collaboration. Our software platform, FM3, serves client needs by delivering unconstrained flexibility and possibility. It was built to support the range of services we offer and provides a unified front to back office platform for asset managers. Developers are embedded in our production environment and are integral to our client relationships. With our unique approach, we accept engagements with challenges that others may be unwilling or unable to undertake. Harmonic is one of the largest independent fund administrators, delivering a range of services and technology to hedge funds, fund of funds, private equity funds, private banks, pension funds and family offices. With our experienced professionals and technology, we support a dynamic and complex industry characterized by new financial products, trading strategies and markets, shifting investor demographics, and an ever evolving regulatory landscape.






