We are PIMCO, a leading global asset management firm. We manage investments and develop solutions across the full spectrum of asset classes, strategies and vehicles: fixed income, equities, commodities, asset allocation, ETFs, hedge funds and private equity. PIMCO is one of the largest investment managers, actively managing more than $2.2 trillion in assets for clients around the world. PIMCO has over 3,070 employees in 22 offices globally. PIMCO is recognized as an innovator, industry thought leader and trusted advisor to our clients.
PIMCO is one of the world's premier fixed income investment managers with thousands of professionals around the world united in a single purpose: creating opportunities for our clients in every environment. Since 1971, we have brought innovation and expertise to our partnership with the institutions, financial advisors and millions of individual investors who entrust us with their assets. We aspire to cultivate performance and leadership through empowering our people, diversity of thought, and a commitment to an inclusive culture that engages in our global communities.
The PIMCO Funds Business Group is responsible for operating public and private fund complexes globally with over $600 billion in AUM across 350+ unique portfolios. The PIMCO Funds Treasurer's Office supports the PIMCO Fund Business group responsible for operating and overseeing PIMCO's global public and private fund complexes and separate accounts. In this role, you will have the opportunity to learn from and contribute to PIMCO's management and oversight of these Funds.
As a Fund Treasury Manager, you will primarily focus on accounting policies and internal controls over financial reporting and assist in management reporting and oversight that coordinate and oversee PIMCO's 1940 Act open-end and closed-end funds, offshore funds, and private partnerships. Furthermore, you will assist with special projects that provide a broad array of exposure to the global fund administration business.
Additionally, you will work with team members to document, oversee, and execute processes related to the management, oversight, and production of the annual and semiannual financial reports and related audits conducted in accordance with local GAAP, regulatory filings, and liaise with Fund Accounting, and other internal and external groups for the ongoing management of the funds.
This role may be based in New York, NY, Newport Beach, CA, or our Austin, TX offices.
You challenge the status quo by asking "why" and identifying new and better ways of doing things
Exceptional organizational and project management skills, including the ability to multi-task and lead many ongoing initiatives
Resourceful, inquisitive, and enjoy problem-solving. Many of the concepts and/or solutions we face are sophisticated, and you bring a desire to work through these complex scenarios
Proven track record to deliver on assigned responsibilities through pursuing excellence, outstanding attention to detail, and using interpersonal and communication skills
You seamlessly adapt to shifting priorities and enjoy working with ambiguity
A standout teammate who builds positive relationships and collaborates across multiple levels of a globally diverse organization, including outside vendors
Track record of building credibility and trust through consistent behavior, high integrity, and judgment
Intellectual curiosity, a dedication to professional development, an ability to learn, and an interest in staying on top of emerging trends
Self-motivated and thrive in a fast-paced environment
High emotional intelligence, are flexible, and resilient
Proven record navigating unstructured processes and simultaneously handling responsibilities with multiple, exciting demands
Encourage a positive work environment and culture for all employees
Oversee and manage a risk-focused oversight model that addresses all aspects of the Funds' operations, SOX disclosure controls and internal controls over financial reporting
Implement, document, and ensure adherence to accounting policies, including evaluation of new securities and complex transactions. Coordinate with the financial reporting team to review financial statements and regulatory filings, including oversight of fund prospectus documents
Assist in coordinating all audit efforts with service providers and external auditors as well as Audit Committee materials
Oversee and manage fund expenses, including reviewing and interpreting fund governing documents, performing fee reviews, and all other components of the funds' expense ratio
Lead/participate in various fund-related initiatives and events
Coordinate and prepare quarterly Board Reporting materials and appropriate Management Reporting
Establish and maintain key internal relationships (legal, compliance, product management, etc.) and external vendors
BA/BS degree in Finance or Accounting required. An MBA, CPA, or CFA is a plus
8-15 years of financial reporting or Big 4 audit experience focused on the investment management industry
A strong understanding of mutual fund accounting, operations, and reporting. Experience with ETFs, closed-end funds, and/or alternative funds is desirable
Ability to implement, interpret, and analyze US GAAP guidance and financial reporting requirements
Strong knowledge of various asset types (e.g., fixed income and equities, including derivatives)
PIMCO is committed to offering a comprehensive portfolio of employee benefits designed to support the health and well-being of you and your family. Benefits vary by location but may include:
Medical, dental, and vision coverage
Life insurance and travel coverage
401(k) (defined contribution) retirement savings, retirement plan, pension contribution from your first day of employment
Work/life programs such as flexible work arrangements, parental leave and support, employee assistance plan, commuter benefits, health club discounts, and educational/CFA certification reimbursement programs
Community involvement opportunities with The PIMCO Foundation in each PIMCO office