Innocap

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25 Days AgoSaved
Hybrid
2 Locations
Financial Services
Reviews NAV calculations, management and incentive fees, expense ratios, fund budgets, valuation policies, and US GAAP financial statements for alternative investment funds. Coordinates fund audits, onboarding, documentation, service providers, and escalated stakeholder inquiries. Supports process improvements, proprietary tool development, and fund accounting operations while monitoring service-level agreements and collaborating with internal and external partners.