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Unit Manager - Operations

20 days ago 2026/10/23 ·Application closes in 99 days
Other Business Support Services
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Job description

Role Value Proposition
Support the MIM Finance organization in the area of billing, finance, accounting and reporting activities for MetLife’s Investment Management business.  Specific areas of responsibility include - Financial reporting, Financial close, Treasury / Cash Management and Expense reporting. 



Financial Reporting: Provide analysis to support for Revenue by account and by client and US GAAP/ IFRS



Monthly / Quarterly Financial Close:  



o    Review daily bank statement



o    Review wires to move funds between MIM accounts



o    Download the monthly bank statements identified accounts. Identify the monthly bank fees and interest debits and credits and prepare monthly journal entries for Finance review.



o    During monthly/quarterly close, download actual general ledger balances using HFM, format and send to Whippany to review.



o    Distribution of Expense Projection Reports to Regions



o    Create Individual file for ASIA/EMEA/LATAM/Mr B and Alico



o    Send emails based on distribution list (updated monthly if necessary) to regions.



o    Verify that all AUM is present in Revport prior to running accruals



o    Run monthly accrual for Privates, Private ABS, Resi WL, non-LCP High Yield and Index



o    Upload the RE Equity & LP Funds monthly accrual template; run the monthly accrual.



o    Run the “Accrual compare report” to do a comparison of the current month’s accrual to the prior month.



o    Download the monthly transaction report out of Revport.



o    Monitor bank statement for cash payments; apply payments against invoices in Revport



o    Prepare month-end open invoices by client report



o    Perform FX trades for non-USD wires in FXCM



o    Perform monthly bank reconciliations for MIML GBP, MIML Euro and MIML USD accounts



o    Reconcile month end cash balances in Cadency using bank recs as support



o    Liaise with CashRecUnit to resolve open items



o    Monitor bank statement and identify cash receipts; facilitate processing in PeopleSoft



o    Create dynamic reports from monthly GA detail of expense, AUM, basis points (bps)



o    Reports by segment, expense type and asset sector with comparisons to actuals, projection and plan



o    Create invoice for billing to counties



o    Create journal entries and to PeopleSoft



o    Expense team approve journal entries



o    Summary for billing by revenue and AUM by legal entity rollup, by region, profit



Education:



Chartered Accountant



Graduate in Accounting / Commerce / Business Administration



Technical Skills:



Exposure to Various Reconciliations type



Basic Understanding of Insurance Products



Intercompany Settlements/ Reconciliation



GAAP and IFRS



Basic & Advance MS Excel (Vlookup, Pivot Table, Sumifs, basic VBA coding etc.)



Monthly Accruals Booking and Clearing



Skills - Customer Service



Skills - Problem Solving/Analytical Ability



Judgement & Decision Making



Skills - Handle Multiple Tasks/Time Management



Strong communication & analytical skills required.



Skills - Spoken English



Experience in Investments accounting experience a plus.



IT Background (MS Office)



Performance Management Skills



Experience: Professional from the Operations with at least 6+ years working experience. Four years and above experience in financial services accounting/reporting preferred. Understanding of accounting and Insurance Industry products is a mandate.





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