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Skills
Accountingunmatched
Accounting Closeunmatched
Accounting Softwareunmatched
Artificial Intelligence (AI)unmatched
Asset Managementunmatched
Automationunmatched
Brokerageunmatched
Customer Support/Serviceunmatched
Data Analysisunmatched
Detail Orientedunmatched
Equity Securitiesunmatched
Financeunmatched
Financial Controlunmatched
Financial Reportingunmatched
Fixed Income Investmentsunmatched
Fund Accountingunmatched
Fund Managementunmatched
Futuresunmatched
Hedge Fundsunmatched
Knowledge Baseunmatched
Machine Learningunmatched
Marketing/Sales Collateralunmatched
Microsoft Excelunmatched
Microsoft Visual Basic for Applications (VBA)unmatched
Multitaskingunmatched
Operational Improvementunmatched
Operations Processesunmatched
Organizational Skillsunmatched
Problem Solving Skillsunmatched
Production Supportunmatched
Professional Servicesunmatched
Python Programming/Scripting Languageunmatched
Reconciliationunmatched
SQL (Structured Query Language)unmatched
Stock Marketunmatched
Team Playerunmatched
Treasury Managementunmatched
Vendor/Supplier Managementunmatched
Description
Trexquant is a growing systematic fund manager with a team of accomplished technologists. We apply statistical and machine learning techniques to build investment portfolios and trade client assets across global equity and futures markets. As we expand our strategies, data, and infrastructure, we are seeking a Financial Controller to work closely with the Chief Financial Officer to support the firm’s continued growth.
Responsibilities
Oversee daily reconciliation processes and support monthly NAV production and review in coordination with fund administrators
Supervise and optimize treasury and collateral management activities across accounts
Coordinate and oversee annual audits and tax filings for both funds and the management company
Support management company accounting, including recording expenses, accruals, intercompany transactions, and supporting month-end close and financial reporting
Manage and enhance vendor payment processes, including automation of workflows for external payees (e.g., data vendors, professional service providers)
Develop, document, and maintain operational procedures for critical processes, including building and maintaining an internal accounting/operations knowledge base
Requirements
Bachelor’s degree in Accounting, Finance, or a related field
3 to 5 years of experience in accounting, fund operations, or middle/back office roles within a hedge fund, asset manager, prime broker, or fund administrator
Familiarity with multi-asset class instruments (equities, fixed income, derivatives, FX)
Strong Excel skills; experience with data analysis, automation tools (e.g., VBA, Python, SQL), or accounting systems is a plus
Strong attention to detail, organizational skills, and ability to manage multiple priorities
Experience with Geneva accounting software is preferred but not required
Experience leveraging automation tools (including AI-based solutions) to improve accounting or operational workflows is a plus
Benefits
Competitive salary, plus bonus based on individual and company performance
Collaborative, casual, and friendly work environment while solving the hardest problems in the financial markets
PPO Health, dental and vision insurance premiums fully covered for you and your dependents