Fund Administrator Job at Sterling Capital Management LLC, Charlotte, NC

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  • Sterling Capital Management LLC
  • Charlotte, NC

Job Description

Job Statement

Oversee and coordinate the legal and financial administration to include the fund accounting and transfer agency functions of the Sterling Capital Funds, a family of mutual funds and ETFs for which Sterling Capital Management serves as investment advisor and/or administrator, and any other registered investment companies or pooled investment vehicles (e.g., common trust funds, exchange-traded funds, etc.) administered by Sterling Capital Management (collectively, the “Funds”).

Essential Duties and Responsibilities

  • Create a structure for management support of various vendor relationships (sub-contractors) of the Funds, including identification of pertinent contact personnel to include the funds’ sub-administrators, transfer agencies, fund accountants, custodians, legal counsel, and auditors.
  • Plan and initiate the implementation of business relationships with the vendors.
  • Oversee the activities of the vendors to include periodic on-site review of activities as well as constant review of vendor reports to ensure accuracy.
  • Coordinate the preparation of the Funds’ prospectuses, semi-annual and annual reports, and board meeting materials.
  • Negotiate pricing of vendor services and identify impact to fund expenses as well as net income.
  • Orchestrate all board meetings regarding business agendas for various relationships and interactions with service providers.
  • Project size and expense of various Fund-related projects and activities.
  • Analyze and identify opportunities for growth and product development.
  • Solicit feedback from key vendors and Sterling Capital or Guardian Capital management regarding the status of Fund performance and/or business development activities.
  • Coordinate support functions for relationships with service vendors, including organizing, planning, and implementing new products, features, and services.
  • Manage the various regulatory, financial, accounting, and compliance aspects of the Funds.
  • Review Fund proxies and supplements to the Funds’ prospectus as necessary
  • Review shareholder trading activity pursuant to Rule 22c-2 as required
  • Participate in various industry seminars as attendee, panelist, and consultant

Required Qualifications:

  • Bachelor’s Degree in business, finance, accounting or economics, or equivalent education and training
  • Experience in mutual fund and/or ETF product management, trust, brokerage, client servicing or financial administration
  • Excellent working knowledge of the mutual fund and/or ETF industry
  • Strong interpersonal and relationship management skills
  • Strong computer skills, including demonstrated proficiency in basic computer applications such as MS Office products
  • Ability to travel, occasionally overnight

Preferred Qualifications:

  • MBA or JD
  • 2-5 years of experience in mutual fund product management, trust, brokerage, client servicing or financial administration

Compensation:

  • Commensurate with experience

Job Tags

For subcontractor, Night shift,

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