Job Responsibilities:
- Maintain the books and records of Hedge/Hybrid and Private Equity funds
- Review fund governing documents and other related agreements, and ensure correct set-up and maintenance of fund structures and investments in accounting database
- Prepare and/or review periodic Net Asset Valuations, management fee and carried interest/performance fee calculations, investor allocations and capital account statements in adherence with the control framework, including internal policies and procedures
- Prepare and/or review capital call and distribution calculations including investor notices and reconcile call proceeds and distribution payments
- Coordinate with Investor Relations, release of capital notices and quarterly reporting on investor reporting portal
- Work closely with manager, team and support functions to manage client expectations and ensure adherence to SLA timelines on client deliverables and ad hoc requests
- Liaise with support functions, internal & external stakeholders including risk and control groups, audit, tax, compliance, implementation and investor relations
Required qualifications, capabilities, and skills:
- Bachelor’s Degree in Accounting, Finance or related field
- 3+ years’ experience in an accounting role
- Knowledge of US Generally Accepted Accounting Principles for Investment Funds
- Familiar with Private Equity & Hedge fund structures
- Analytical thinker and problem solver with attention to detail, ability to work under pressure and balance multiple priorities
- Team player with strong organizational, excellent interpersonal, communication and client service skills with ability to see projects to completion
- Proficiency in Microsoft Office product suite and strong MS Excel skills
Preferred qualifications, capabilities, and skills:
- Professional accounting qualification (CA, CPA) a plus
- Experience with Investran or similar integrated Private Equity system a plus
- Experience at a Big 4, PE firm or fund administrator