The Role
- Prepare monthly, quarterly, and annual fund NAV calculations and financial reports.
- Maintain general ledger, capital accounts, and fund accounting records for private equity funds.
- Process capital calls, distributions, management fees, carried interest, and other fund-related transactions.
- Coordinate with external fund administrators, custodians, auditors, tax advisors, and service providers.
- Assist in preparing audited financial statements and regulatory filings.
- Perform portfolio valuation support and maintain investment schedules.
- Reconcile cash, investment positions, and investor capital activities.
- Prepare investor reporting, including capital account statements and performance reports.
- Support fund launches, fund closings, and operational enhancement initiatives.
- Participate in ad hoc projects and process improvements within the finance function.
Your Profile
- Bachelor's degree in Accounting, Finance, Business Administration, or a related discipline.
- Minimum 3-5 years of fund accounting experience gained within private equity, asset management, fund administration, or financial services.
- Strong knowledge of private equity fund structures, capital calls, distributions, waterfalls, and partnership accounting.
- Familiarity with IFRS, HKFRS, US GAAP, or other relevant accounting standards.
- Proficiency in Excel and fund accounting systems; experience with Investran, eFront, Yardi, or similar platforms is advantageous.
- Strong communication skills with the ability to liaise effectively with investors, auditors, and internal stakeholders.
Reference no.: 67010-0013484751
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