JobsAccountantCincinnatiFund Accountant I

Ultimus Fund Solutions

Posted 6 days ago

Fund Accountant I

Ultimus Fund Solutions · Omaha, Nebraska, United States · also Cincinnati, Ohio, United States

Full-timeOn site0-2 yrs$50k–$55kListed as no visa sponsorship
APPLY ON ULTIMUS FUND SOLUTIONS'S CAREERS SITE ↗

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In short

The Fund Accountant I is responsible for performing fund valuation processes and calculating net asset valuations for mutual funds. They also reconcile trading activity, manage cash forecasting, and prepare documentation for annual audits.

What they're looking for

MUST-HAVE SKILLS

Fund valuationNet asset valuationsReconciliationAccounting principlesFinance principlesTrading activity analysisCash forecastingAuditing

ALSO MENTIONED

Fund AccountantNAVMutual fundsInvestment productsReconciliationAccountingFinanceStocksBondsOptions

Candidates must hold a bachelor's degree in accounting, finance, business, or a related field. Proficiency in accounting principles, financial industry terminology, and Microsoft Office Suite is required.

About Ultimus Fund Solutions

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Questions about this role

Is this Ultimus Fund Solutions role remote?
Tagged on site.
What does it pay?
The posting lists $50,000–$55,000 a year.
Does it sponsor visas?
Listed as no visa sponsorship.
What experience does it ask for?
Listed as 0-2 years.

The posting, in full

The Fund Accountant I is responsible for performing various fund valuation processes for the calculation of the net asset valuations (NAV’s) of an assigned set of mutual funds or investment products. Updates, analyzes, and reconciles all security trading activity received from the fund advisor daily. Ensures all fund transactions are properly recorded in the accounting system.

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SUMMARY

The Fund Accountant I is responsible for performing various fund valuation processes for the calculation of the net asset valuations (NAV’s) of an assigned set of mutual funds or investment products.

KEY ACCOUNTABILITIES

Updates, analyzes, and reconciles all security trading activity received from the fund advisor daily.

  • Ensures all fund transactions are properly recorded in the accounting system.
  • Applies accounting and finance principles to asset types.

Provides fund advisors with forecasted available cash every morning in a quick and accurate manner.

Reconciles fund accounting records for custodian, transfer agent, and middle office daily.

Prepares monthly reconciliations for other fund activity and delivers periodic auditor requests for annual fund audits.

WORKING RELATIONSHIPS

Contact as needed with external business partners regarding general information, audits, inquiries, or reporting requirements.

Collaborates with the Fund Accounting, Transfer Agency, and Middle Office departments, as needed.

May perform other duties as required and assigned.

EDUCATION AND EXPERIENCE

  • Bachelor’s degree in accounting, finance, business, or related field.
  • Relevant experience.
  • Equivalent education and experience will be considered.
  • KNOWLEDGE
  • Accounting and finance principles.
  • Stocks, bonds, options, and futures.
  • Financial industry terminology.
  • Microsoft Office Suite.
  • Adobe Acrobat.

SKILLS AND ABILITIES

  • Troubleshoots issues utilizing creative and critical thinking skills.
  • Multitasking, analytical, and organizational skills.

Initiative-taking, strategic, and meticulous approaches with a strong commitment to quality, efficiency, and effectiveness.

  • Demonstrates personal integrity, responsibility, and accountability.
  • Effectively uses resources such as time and information in conjunction with associates.
  • Participates in solving problems and making decisions.
  • Presents and expresses ideas and information, written and oral, clearly, and concisely.

Actively listens to others to achieve understanding and supports an open exchange of ideas and information.

Identifies needs, arranges for, and obtains resources to accomplish individual and department goals.

Establishes and develops effective working relationships with associates and clientele during both favorable and unfavorable situations.

Modifies team and individual priorities and deadlines in response to added information, changing conditions, or unexpected obstacles and ensures completion.

Ultimus is an equal opportunity employer and does not discriminate on the basis of the applicant’s or employee’s race, color, religion, national origin, ancestry, gender, sexual orientation, age, disability, veteran or military status, genetic information, citizenship or any other status entitled to protection under federal, state or local anti-discrimination laws. No questions on our employment application are intended to secure information that is to be used for impermissible purposes.

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This listing comes from Ultimus Fund Solutions's own careers site. Apply links go to the employer. Last checked 5 Oct 2026.