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Fund Administrator at Apex Group

Description

The Apex Group, a leading fund administration and middle office solutions provider established in Bermuda since 2003, is seeking a skilled individual responsible for reviewing and preparing Net Asset Values (NAV) for hedge fund clients. This role involves managing various financial reconciliations, analyzing pricing, handling corporate actions, processing non-automated transactions, and supporting audits. The successful candidate will contribute to improving operational efficiency and collaborating with internal and external stakeholders.

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