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Funds Administration Analyst

Brazil, Management and Business Support, Global Wealth ManagementPosted Sep 30, 2026

Job description

Do you have experience with investment funds, fund accounting, and NAV calculation? We are looking for an analyst to:

  • perform daily calculation and validation of the Net Asset Value (NAV) of investment funds, ensuring accuracy, integrity, and compliance with established deadlines
  • carry out cash, position, asset, and accounting record reconciliations, investigating and resolving discrepancies with custodians, administrators, brokers, and service providers
  • support the processing and review of fund events, including corporate actions, accruals, fees, expenses, and valuation adjustments
  • prepare, validate, and deliver accounting reports, NAV packages, financial information, and regulatory disclosures
  • monitor fund portfolio data, pricing sources, and accounting records to ensure consistency and compliance with internal controls
  • contribute to the automation, standardization, and continuous improvement of NAV and Fund Accounting processes

Description copied from UBS's careers page. Read the full posting before you apply.

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