Join our Global Investment Operations team supporting fund accounting, NAV-related activities and the operational management of investment funds across global portfolios. This is an opportunity for a junior-level professional to gain hands-on exposure to fund operations, valuation controls and third-party fund administrators within a global investment environment.
The Role
The role focuses on fund accounting and NAV-related processes, including the review, validation and operational oversight of third-party service providers across WTW’s internal funds and delegated client portfolios. The analyst will work closely with operations teams, custodians and investment managers to ensure accuracy, timeliness and control across investment data.
Equal Opportunity Employer
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