As a controller professional in our Alternatives Financial Controllers team of Private Equity Team, you will be working with an established team and support a large Institutional High Yield Portfolio. With your knowledge, you will be able to create investment strategies that will benefit our clients and the Asset Management business.
Job Responsibilities:
- Conduct quarter-end property financial statements review, GAAP adjustments, variance analysis, asset and debt appraisals.
- Review fund financial statements, NAV pricing, and management and incentive fee workings.
- Calculate investment-level NAVs and IRRs, and perform financial reporting and reconciliations.
- Analyze financial statements and other financial reports of investments to determine reasonability, accuracy, and completeness.
- Review client allocations, client returns, and investor capital calls and distributions.
- Provide requisite financial information to auditors, support senior-level financial controllers/portfolio managers onshore, communicate with various external parties, and take ownership of the review of business-critical financial numbers received.
:
- Qualified CA/ACCA/CPA/MBA with at least 2 years of experience in Fund accounting & financial Reporting and knowledge of the IFRS reporting.
- Strong practical understanding of private equity / hedge fund mechanics
- Partnership accounting (capital or unitized) experience required.
- Financial statement preparation and/or review experience
- Good communication skills and ability to communicate clearly and concisely.
Preferred qualifications, capabilities and skills:
- Self-starter able to prioritize key tasks effectively
- Proficient in Microsoft Excel and Word
- Ability to work in high-pressure situations
- Ability to work Independently