As a Fund Operations Associate you will validate impacts to mutual fund and ETF NAVs to ensure shareholder accounts are valued accurately while protecting the organization's reputation. You will perform a high volume of tasks associated with fund accounting, data management, trade processing, and regulatory reporting. The Fund Operations Analyst II will adhere to policy, procedures, and regulatory guidelines along with other ad-hoc responsibilities. The ability to work overtime and be flexible is strongly encouraged.
The Expertise and Skills You Bring
The Fund Accounting group is responsible for maintaining the proper valuation of the books and records for all mutual funds and ETFs within the Fidelity Investments family of Retail and Institutional products. Within the Fidelity Fund & Investment Operations (FFIO) business unit, the group performs a meaningful role in accurately valuing mutual funds which serve to protect shareholder interest.