Analyst, Accounting - SLC Management
Listed on 2026-09-03
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Finance & Banking
Financial Reporting, Financial Analyst, Financial Compliance -
Accounting
Financial Reporting, Financial Analyst, Financial Compliance
SLC Management is a growing global asset management firm providing innovative and diversified investment solutions to institutional investors. We are breaking new ground with a full spectrum of solutions for a growing institutional client base of more than 1400 organizations. Our history of organic and strategic growth reflects this commitment with over CA $387/US $286 billion in assets under management (AUM).
As a subsidiary of Sun Life, we are aligned with one of the world's leading financial services companies, and benefit from the stability and strength of that relationship.
We are a performance-driven organization with a deliberate focus on fostering a development-focused, inclusive culture revolving around our Core Values of being client obsessed , valuing each other , acting with speed and having an owner's mindset . As part of our team, you play a role in fulfilling our purpose and making a difference. We offer a rewarding work environment that is filled with opportunity for growth where you will be empowered to meet the challenges of a highly competitive landscape.
Visit our website to learn more and for the most up to date AUM information.
SLC Management offers a mix of in-office and virtual work where our employees are empowered to do their best. Generally, employees are expected to work three or more days in-office each week with flexibility depending on their business, client and team needs.
Job DescriptionThe Senior Accountant, Treasury & Investment Operations is responsible for supporting the accounting, treasury, investment operations, and financial reporting functions of Sun Life Investments LLC. This role supports the Chief Financial Officer/Treasurer and President through the processing, reconciliation, accounting, and reporting of fixed income and derivative investment transactions. The position serves as a key liaison between accounting, portfolio management, custodial banks, counter parties, auditors, and operational service providers to ensure the accurate and timely settlement, accounting, and reporting of investment activities.
Whatyou will do
- Perform daily cash reconciliations between investment accounting systems and bank accounts, investigating and resolving discrepancies.
- Monitor and document cash receipts and disbursements related to investment and operational activities.
- Process, verify, and maintain documentation for fixed income and derivative transactions, including trade confirmations, settlements, exchanges, and terminations.
- Coordinate wire transfers and settlement communications with counter parties and custodial institutions.
- Prepare journal entries and supporting schedules related to investment settlements, foreign exchange activity, derivative transactions, guarantee fees, bank activity, and other accounting adjustments.
- Maintain accounting records and supporting documentation in accordance with company policies and control requirements.
- Produce monthly investment, accounting, and control reports, including balance sheet reconciliations, foreign exchange analyses, derivative reporting, and portfolio reporting.
- Generate investment analytics and portfolio support reports as required.
- Assist with month-end, quarter-end, and year-end close activities.
- Support internal and external audits, regulatory reviews, and special projects as assigned.
- Bachelor's degree in Accounting, Finance, Business Administration, or a related field.
- Minimum 2 years of accounting, treasury, investment operations, or financial reporting experience.
- Experience working with fixed income securities, derivatives, investment accounting, or treasury operations preferred.
- Experience with investment management and accounting systems such as Black Rock Aladdin, Summit, or similar platforms is preferred.
- Strong knowledge of accounting principles and financial reporting.
- Understanding of fixed income securities, derivative instruments, foreign exchange transactions, and investment settlement processes.
- Experience with cash reconciliation and treasury management activities.
- Advanced analytical and problem-solving skills.
- Strong attention to detail and accuracy.
- Ability to work independently and manage multiple priorities in a deadline-driven environment.
- Excellent organizational, verbal, and written communication skills.
- Advanced Microsoft Excel proficiency.
- Ability to collaborate effective with portfolio managers, operations teams, auditors, custodians, and external counter parties.
- Commitment to maintaining strong internal controls and operational excellence.
Opportunity to work for a growing global institutional asset manager
Excellent benefits and wellness programs to support the three pillars of your well-being - mental, physical and financial - including generous vacation and sick time, market‑leading paid family, parental and adoption leave, a partially‑paid sabbatical program, medical plans, company
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