Strengthened financial controls and reporting accuracy by implementing structured close processes, audit - ready documentation, and clear tracking of open items.
0
51
Managed deal-by-deal waterfall and carried interest calculations, improving allocation accuracy and ensuring full alignment with LPAs and investor-level reporting.
0
54
Transformed manual allocation and reporting workflows by implementing automated Excel solutions, significantly improving efficiency, accuracy, and scalability.
0
56
Managed full - cycle NAV processes for a multi-strategy fund, enhancing accuracy, reducing audit risk, and delivery consistent, audit-ready reporting across reporting periods.