Fee Billing & Advisor Compensation Analyst
Listed on 2026-09-20
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Accounting
Financial Reporting, Financial Compliance, Financial Analyst, Accounts Receivable/ Collections -
Finance & Banking
Financial Reporting, Financial Compliance, Financial Analyst, Accounts Receivable/ Collections
Fee Billing & Advisor Compensation Analyst About this position
Description:
POSITION:Fee Billing & Advisor Compensation Analyst
Location &
Hours:
Fort Lauderdale – HQ | On-site, Full-time
FLSA Classification: Exempt
Who We AreAt Sound Income Group
, our mission is to help independent financial professionals and their clients thrive, especially those approaching or in retirement. We provide a full suite of resources across financial education, investment strategies, marketing, and practice management to support long-term success.
Sound Income Strategies, a federally registered investment advisory firm with more than $4.5 billion in assets under management, is seeking a highly accurate and detail-oriented Fee Billing & Advisor Compensation Analyst to join our Accounting team.
This role supports the full advisory fee billing and compensation cycle, including calculation, processing, reconciliation, collection, and distribution. Working across Accounting, Operations, Compliance, advisors, custodians, and third-party vendors, this individual will provide front-end and back-end support while ensuring fee activity is completed accurately and on time.
The ideal candidate brings RIA or financial services experience, advanced Excel skills, exceptional attention to detail, and the ability to independently manage high-volume, deadline-driven processes.
Key ResponsibilitiesFront-End Fee Billing & Advisor Support
- Serve as the primary subject-matter expert for advisor fee-billing and compensation inquiries, including statement and payout explanations, fee adjustments, rebates, billing corrections, and system-access issues.
- Enter and maintain ~400-600 fee records per month for new and existing business, ensuring complete and accurate setup within established timelines.
- Establish and maintain fee codes and billing configurations in Black Diamond, including production-threshold changes and related fee or payout adjustments.
- Coordinate with Compliance to obtain and retain required refund waivers, approvals, and supporting documentation.
- Maintain the fee-billing queue and related dashboards in Salesforce, ensuring requests, changes, escalations, and resolutions are accurately documented and completed.
- Review account and contractual documentation for completeness and accuracy and partner with advisors or internal teams when corrections or amendments are required.
Back-End Billing, Compensation & Accounting Support
- Execute the monthly billing cycle, with concentrated billing activity during the first 15 days of each month, including pulling billing data from Black Diamond and creating the final billing snapshot used to debit advisory fees from client accounts.
- Coordinate with custodians, banking platforms, and third-party vendors to process and collect monthly and quarterly advisory fees accurately and on schedule.
- Prepare advisor payout and compensation spreadsheets, monitor the exceptions log, research discrepancies, and ensure accurate fee distribution.
- Prepare and post advisor compensation statements and supporting reports in Dropbox, resolving access or statement issues as needed.
- Record billing and compensation activity in Quick Books Desktop and support ACH processing through Bank of America's Cash Pro platform.
- Process fee reimbursements, rebates, and other adjustments, ensuring appropriate approvals, documentation, and audit trails are maintained.
- Perform reconciliations and checks and balances to confirm complete and accurate fee collection, payout, and financial reporting; identify and resolve missed billing or other variances.
- Support collections and maintain complete process documentation, calculation support, billing changes, and audit records.
Revenue Analysis, Reporting & Process Improvement
- Analyze current and historical revenue, profitability, trends, and variances; translate findings into clear reporting for the Controller and senior management.
- Build, maintain, and produce recurring and ad hoc reports, roll-up statements, reconciliations, and financial analyses that support business decisions.
- Partner directly with the Controller and cross-functional stakeholders to research exceptions, resolve complex billing issues, and meet monthly deliverable deadlines.
- Evaluate, document, and improve billing and compensation workflows, controls, dashboards, and system usage to increase accuracy and efficiency.
- Provide training and knowledge-sharing related to billing processes, systems, and controls, and support additional accounting or…
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