:Introductory Marketing LanguageTake a lead role in acquiring, managing and retaining meaningful relationships that deliver outstanding experience to our customers.Job SummaryAs a Fund Accountant within the JP Morgan Fund Accounting Team, you will be instrumental in the creation and review of the Net Asset Value (NAV) and other key tasks that contribute to the accurate valuation of our mutual fund clients. You will assume direct accountability for the production, review, and delivery of activities tied to regulatory compliance and client reporting. This role allows you to engage in the detailed and quality-focused production and review of both NAV impacting activities and regulatory reports, providing an opportunity to significantly influence our operations.Job Responsibilities
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