Senior Consultant Fund Accounting About Northern Trust: Northern Trust, a Fortune 500 company, is a globally recognized, award winning financial institution that has been in continuous operation since 1889. Northern Trust is proud to provide innovative financial services and guidance to the worlds most successful individuals, families, and institutions by remaining true to our enduring principles of service, expertise, and integrity. With more than 130 years of financial experience and over 22,000 partners, we serve the worlds most sophisticated clients using leading technology and exceptional service. Role Description Role will encompass all facets of the calculation review of the net asset value on a variety of crossjurisdiction complex fund types and products Owner of FA internal and external deliveries (NAV, tax, reporting, etc ) Active participation and ownership in project management leaded / sponsored by Section Manager Key point of contact with direct Section Manager and Client Service Manager (SME) TASK Description Ensuring the NAVs are reviewed and validated before dissemination to clients, other parties, and markets as per NT standards Ensuring that the reconciliation of cash and security transactions are done in an efficient and timely manner to maintain the teams reconciliation items at a minimum level Ensuring that the pricing of portfolio''s including Equities, Options, Futures, Fixed Income, OTCs, and Forwards are validated per pricing policy Responding to client queries in a timely and efficient manner. Monitoring recurrent reporting for onward transmission (Internal, to the Trustees, Clients, Third Parties) and resolve any queries posed within specific timeframes in a prompt and professional manner Performing duties in accordance with current procedures and challenging and enhancing the current procedures. Review, enhance and redesign the procedures as the operational model changes Consult with FA management to drive change and improvement. Liaise with internal departments, Trustees/Depositaries, Custodians, Auditors, and key clients and attend meetings when required Communicate effectively both orally & in written form with internal departments and external bodies and monitoring the same with all team members Working actively and closely with Manager(s) on various processes/projects, such as being assigned to take the lead and/or assist to implement new processes Training of fund accountants and supervisors on all aspects of NAV process and any type of reporting Skills / Experience Proven understanding of multi region funds structures in a financial services NAV environment. Ability to work under pressure to achieve the multiple daily deadlines for client deliverables, with a mature approach. Knowledge of the regulatory regulations pertaining to, Mutual Funds, Open Ended Investment Companies (OEICs) and close ended funds Financial instrument knowledge Traditional asset types, Derivatives and Private Capital Market A