Business & Operations
Operations, strategy, finance, sales, support, management, and planning
Browse business & operations skills
Showing 6,697–6,720 of 29,613 skills
Structures IA compliance with Form ADV, custody rule, and Code of Ethics requirements. Use when managing IA compliance, updating Form ADV, or reviewing Code of Ethics.
Structures withholding tax analysis with treaty benefit claims and QI/QDD compliance. Use when managing withholding tax, claiming treaty benefits, or ensuring QI compliance.
Structures internal audit planning and execution with risk assessment, testing, and findings documentation. Use when planning internal audits, conducting audit testing, or documenting audit findings.
Structures bank interest rate risk analysis with EVE, NII sensitivity, and gap analysis. Use when managing bank IRR, modeling NII sensitivity, or analyzing repricing gaps.
Structures interest rate hedging with swap, cap, and collar analysis and hedge accounting documentation. Use when hedging interest rate risk, selecting hedging instruments, or documenting hedge relationships.
Structures intercompany pricing with transfer pricing documentation and arm's-length analysis. Use when managing transfer pricing, documenting intercompany transactions, or ensuring arm's-length compliance.
Structures value-added tax and customs duty analysis with cross-border transaction considerations. Use when managing VAT, analyzing customs duties, or evaluating indirect tax positions.
Structures income tax provision calculation with current/deferred components and rate reconciliation. Use when calculating tax provisions, analyzing deferred taxes, or preparing rate reconciliations.
Structures goodwill and long-lived asset impairment testing with fair value estimation and documentation. Use when testing for impairment, estimating fair values, or documenting impairment analysis.
Structures impact fund reporting with IRIS+ metrics, theory of change alignment, and additionality assessment. Use when reporting impact metrics, using IRIS+ indicators, or measuring fund impact.
Structures hedge accounting documentation with effectiveness testing and ASC 815/IFRS 9 compliance. Use when documenting hedge relationships, testing effectiveness, or managing hedge accounting compliance.
Structures workforce planning with headcount budgeting, compensation modeling, and organizational analysis. Use when planning headcount, budgeting compensation, or modeling workforce scenarios.
Structures PE/VC fundraising with LP outreach, DDQ completion, and closing documentation. Use when managing fund raises, completing due diligence questionnaires, or preparing fundraising materials.
Structures fund tax reporting with K-1 preparation, PFIC reporting, and investor tax package coordination. Use when preparing K-1s, managing fund tax reporting, or coordinating investor tax packages.
Structures LP fund reporting with NAV calculation, performance attribution, and portfolio updates. Use when preparing LP reports, calculating fund performance, or creating quarterly updates.
Reviews fund offering documents with LPA terms, side letter analysis, and compliance requirement extraction. Use when reviewing fund documents, analyzing LPA terms, or managing side letter provisions.
Structures fund expense allocation with methodology documentation, compliance, and investor disclosure. Use when allocating fund expenses, documenting allocation methods, or managing expense ratios.
Structures fund distribution processes with allocation methodology, tax lot selection, and distribution notice preparation. Use when processing distributions, allocating fund income, or preparing distribution notices.
Structures investment compliance testing with guideline monitoring and breach reporting. Use when monitoring investment guidelines, testing compliance, or reporting breaches.
Structures fund board reporting with compliance summaries, performance review, and governance documentation. Use when preparing board reports, summarizing fund compliance, or documenting governance items.
Structures fund audit preparation with financial statement drafting, confirmation management, and workpaper organization. Use when preparing for fund audits, drafting fund financials, or managing audit confirmations.
Structures fund accounting processes with trade recording, income allocation, and financial statement preparation. Use when managing fund books, recording investment transactions, or preparing fund financials.
Structures banking fraud detection with transaction monitoring, investigation, and recovery documentation. Use when detecting banking fraud, investigating suspicious activity, or managing fraud cases.
Structures FX hedging programs with exposure identification, instrument selection, and hedge effectiveness testing. Use when managing FX risk, designing hedge programs, or testing hedge effectiveness.