Analyst - Global Fund Services Fund Accounting Conversion Team
Company: JPMorgan Chase & Co.
Location: Boston
Posted on: April 2, 2026
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Job Description:
Description J.P. Morgan’s Corporate & Investment Bank is a
global leader across banking, markets and investor services. The
world’s most important corporations, governments and institutions
entrust us with their business in more than 100 countries. J.P.
Morgan delivers an end-to-end solution for clients seeking
exceptional Treasury services, including budgeting/expense
processing, distribution processing, and audit support. We embrace
a culture of continuous learning, and we are passionate about using
technology and process improvements that enable our world class
team to achieve great results for clients. As a Fund Accounting
Operations Analyst on the Conversion Team at JPMorgan, you will be
responsible for helping to convert outside clients onto JPM
platforms as well as designing/implementing processes and controls
in support of their daily production requirements. The team works
directly with the client, client service representatives, global
hubs/utility groups and Boston Operations teams to manage the
overall conversion of daily fund accounting services within
specified timeframes all the while, maintaining a high degree of
client satisfaction. You would be the perfect fit for us if you
have great attention to detail, the ability to prioritize and
execute time sensitive tasks, and have a passion to deliver
solutions across organizational boundaries. Job Responsibilities
Process fund events; Client Conversions, Fund Launches, Closures,
Mergers, In-Kinds, Asset Transitions, Accounting Platform Changes
and complete standard reconciliations. Establish and maintain fund
and account profiles in JPM’s accounting system (FIS), based on a
combination of client instructions, fund prospectus information and
legacy administration books and records. Support team during
conversions/system optimization to include planning and testing
prior to event. Required qualifications, capabilities, and skills
Strong knowledge of Mutual Fund Accounting to include General Ledge
accounting (Trial Balance, Sub Ledgers, Balance sheet vs. Income
statement). The ability to determine downstream impacts of complex
fund events. Proven reconciliation skills – ability to create
ad-hoc reconciliations of external and internal Trial Balances,
General Ledgers, Cash/Assets, etc. Strong knowledge of Excel
Flexibility – ability to work in a dynamic environment and
accommodate changes in day-to-day workloads/requirements. Weekend
availability is expected at times. Preferred qualifications,
capabilities, and skills Experience with FIS Accounting
software
Keywords: JPMorgan Chase & Co., Lawrence , Analyst - Global Fund Services Fund Accounting Conversion Team, Accounting, Auditing , Boston, Massachusetts