Hi
can someone assist please on my NOC Code for a senior fund accountant
to verify my NOC code for my role of SFA for my permanent residency application. I am just in the closing stages. I believe it may be NOC 1112 or 1114. I am just completing my application currently for PR and just need verification on that. I am sure someone else may have been in same boat previously.
Below are my responsibilities
Oversee and prepare financial reports and profit allocation statements, including “net asset value”, to
meet client deadlines
Execute the financial control elements covering assets, liabilities, income and expenses, and equity
Independently complete cash, portfolio and capital reconciliations and investigate and resolve any
discrepancies
Independently complete income and expense allocations including calculating asset based fees and
performance fees
Monitor compliance with various client service agreements
Maintain contact with Investment Managers, Banks, Custodians and Brokers
Work with all team members to improve product quality and consistency
Assist with new client onboarding & new fund launches to ensure successful completion
Train and support team members in their development
Operate as a contact point for clients; being able to respond to and resolve queries or escalate where
necessary
Participate in the fiscal year end audit process and provide information to auditors as required
Liaise with various internal /external parties
Assist with ad hoc projects
can someone assist please on my NOC Code for a senior fund accountant
to verify my NOC code for my role of SFA for my permanent residency application. I am just in the closing stages. I believe it may be NOC 1112 or 1114. I am just completing my application currently for PR and just need verification on that. I am sure someone else may have been in same boat previously.
Below are my responsibilities
Oversee and prepare financial reports and profit allocation statements, including “net asset value”, to
meet client deadlines
Execute the financial control elements covering assets, liabilities, income and expenses, and equity
Independently complete cash, portfolio and capital reconciliations and investigate and resolve any
discrepancies
Independently complete income and expense allocations including calculating asset based fees and
performance fees
Monitor compliance with various client service agreements
Maintain contact with Investment Managers, Banks, Custodians and Brokers
Work with all team members to improve product quality and consistency
Assist with new client onboarding & new fund launches to ensure successful completion
Train and support team members in their development
Operate as a contact point for clients; being able to respond to and resolve queries or escalate where
necessary
Participate in the fiscal year end audit process and provide information to auditors as required
Liaise with various internal /external parties
Assist with ad hoc projects