Client Transitions Manager
Job in
Town of Poland, Jamestown, Chautauqua County, New York, 14701, USA
Listed on 2026-08-01
Listing for:
HedgeServ Corporation, HedgeServ Limited
Full Time
position Listed on 2026-08-01
Job specializations:
-
Accounting
Financial Reporting, Accounting Manager, Accounting & Finance, Financial Compliance -
Finance & Banking
Financial Reporting, Accounting Manager, Accounting & Finance, Financial Compliance
Job Description & How to Apply Below
## Client Transitions Manager Apply locations:
Krakow, Poland:
Gdansk, Poland posted on:
Posted 2 Days Agojob requisition :
R6812
At Hedge Serv, we’re redefining what’s possible in fund administration. With more than $700 billion in assets under administration, we partner with the world’s most forward-thinking investment managers – across private equity, private credit, endowments, hedge funds and more – to deliver seamless, tech-enabled solutions that drive performance.
Our proprietary platform, enhanced by machine learning and robotic process automation, gives clients real-time insights and unmatched control over their operations. Alongside our technology, we offer award-winning service through our team-based approach -- led by a deeply experienced team of industry experts. Our solutions span the full investment lifecycle, including fund accounting, middle office, risk, compliance, tax, and investor services.
We’re a future-focused company, empowering our people through a robust career development framework, clear career trajectories with structured learning paths, training, and progression plans. We invest in leadership development and in our collaborative culture, creating space for talent to grow. Our corporate values – Relationships, Support, Innovation, and Expertise – create a sense of shared purpose and belonging, and we recognize our employees sit at the core of our success.
We continue to innovate and evolve through our employees, working together to achieve our shared vision and mission.
Hedge Serv supports employees through a variety of offerings, including remote and hybrid working arrangements, and fully paid comprehensive health and well-being benefits. We’ve been recognized as an employer of choice, earning a top 100 workplaces designation.
Founded in 2008, Hedge Serv has grown into a global organization with over 2,000 experts across the globe, with offices in the United States, Grand Cayman, Ireland, Poland, Bulgaria, Luxembourg, the Philippines, and Australia. We’ve earned numerous accolades, including Top Overall Administrator, along with #1 rankings for providing alternative asset services in Accounting, Technology, Client Service, Investor Services, Alternative Fund Expertise, Reporting, and Regulatory Expertise.
The successful candidate will join the team responsible for onboarding of new clients from a Fund Accounting perspective onto the Hedge Serv platform, reporting directly to the Director in this department but also with the support of the Managing Director. The Fund Accounting Transitions team will, by the end of each new client transition, have reconciled back all aspects of the NAV to the prior administrator and handed the client over to the NAV team who will then move on with Hedgeserv’s daily and monthly processes.
The requisite Induction Training will be provided in addition to both compulsory training (AML/KYC) and optional training. Additional role-specific training shall be provided by the Director.
** Key Accountabilities of the Role
** The combination of tasks required to be executed will vary depending on business needs. The below list is not finite and may be added to:
* Working with the new client to ensure all the requisite Fund Accounting information necessary is received in order to begin the initial take on in a timely manner
* Liaising with our Middle Office Department to ensure that the Open Positions are loaded onto our system along with the daily trades that will be loaded once the initial positions are reconciled
* Reconciling back to the prior administrator books and records and accounting for any differences that may occur between the prior administrator’s system and the Hedge Serv in-house NAV systems at take on date
* Liaising with the Hedge Serv NAV team during the parallel period where both the previous administrator and Hedge Serv are both producing a NAV
* Ensuring that at each month end during the parallel period that a full reconciliation is completed between the prior administrator and the Hedge Serv records and that any breaks are accounted for
* Reviewing work prepared by Supervisors and Analysts
* Managing the team members and preparing a…
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