
at J.P. Morgan
Bulge Bracket Investment BanksPosted 3 days ago
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**Client Service Associate - Fund Accounting Implementation, Dublin** Manage fund lifecycle activities, coordinate complex fund events, and drive operational improvements. Key responsibilities involve end-to-end delivery of fund launches and closures, event planning, internal stakeholder collaboration, and technology testing for internal change requests. Own service level adherence, standardize processes, and contribute to strategic initiatives. Required skills include strong ownership, prioritization, problem-solving, collaboration, and quality focus. Proficiency in Excel, Word, and PowerPoint is preferred. Background in fund accounting operations beneficial.
- Compensation
- Not specified
- City
- Dublin
- Country
- Ireland
Currency: Not specified
Full Job Description
Location: Dublin, Ireland
Join a team responsible for delivering new fund and share class setups and coordinating complex fund events end-to-end. Youll work with teams across operations and product to improve resilience, reduce manual effort, and strengthen the quality and consistency of outcomes. This role provides the chance to build technical and operational knowledge while contributing to stronger controls and more reliable delivery.
As a Client Service Associate within the Fund Accounting Implementation team in Dublin, you will manage fund and share class lifecycle activity across multiple fund ranges, coordinate complex fund events, and contribute to operational initiatives including technology testing and process enhancements. Youll take ownership of multiple workstreams, ensure delivery against agreed timelines, and help drive standardization and automation across fund accounting processes.
Job responsibilities
- Manage end-to-end delivery of new fund and share class launches and closures across assigned fund ranges
- Coordinate and process fund events such as mergers, restructures, and in-kind (in specie) activity, including planning and pre-event testing
- Act as a point of coordination for implementation and event activity across multiple fund ranges
- Partner with internal stakeholders across operations, valuation, service teams, and product to ensure aligned delivery and clear communication
- Execute technology testing across internal applications for internal and external change requests, documenting outcomes and follow-ups
- Own adherence to service level agreements, procedures, policies, checkpoints, and controls to maintain a strong controlled environment
- Identify opportunities to automate, streamline, and standardize processes to reduce manual touchpoints and align with global standards
- Contribute to strategic operational initiatives and continuous improvement efforts across the team
Required qualifications, capabilities and skills
- Strong sense of ownership and responsibility with the ability to follow issues through to resolution
- Demonstrated ability to manage multiple concurrent workstreams and competing deadlines
- Proactive problem-solving skills, including comfort escalating risks and proposing practical solutions
- Strong collaboration and stakeholder management skills across multiple teams and functions
- Flexibility and adaptability in a dynamic environment with changing priorities
- Consistent focus on quality, accuracy, and operating in a controlled environment
- Understanding of the importance of regulatory requirements and risk awareness in fund accounting activities
Preferred qualifications, capabilities and skills
- Strong attention to detail and a structured approach to documentation and execution
- Prior exposure to fund accounting operations, fund lifecycle activity, or implementation/event processing
- Product and fund structures knowledge (for example, share classes, fund changes, mergers, restructures)
- Proficiency in Microsoft Excel, Word, and PowerPoint



