I am a finance operations professional currently working in fund administration, supporting complex investment structures and derivative securities.
My core expertise is Excel-based reconciliations, data validation, and operational support for finance and investment teams that need reliable, detail-driven assistance on a contract basis.
I typically support clients with:
• Reconciliation clean-ups and ongoing reconciliation support
• Handling complex and derivative securities data
• Reporting accuracy checks and operational data validation
• User Acceptance Testing (UAT) support and test result validation
• Process documentation and workflow support
I work best with small to mid-sized teams that need discreet, dependable overflow support rather than entry-level administrative assistance.
If you need someone who understands fund operations, deadlines, and data integrity—not just basic Excel—I would be glad to discuss how I can help.