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Fund Manager

$ 5,000 - $ 6,200 / month

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Job Resoibsibilities

  • Build and maintain client relationships and act as primary fund administration client relationship manager for fund accounting and other related services
  • Be actively involved in business development to pitch for new client engagements
  • Set up the fund administrative services workflow and best practices, including evaluation of any fund accounting software where necessary
  • To handle all fund accounting activities which includes periodic financial statements, partner allocations, NAV calculations, annual reporting requirement, and capital activity statements etc
  • Assist in investor reporting, partner capital account statements, capital calls, distribution, equalization notices and client reporting are prepared and disseminated correctly
  • To provide support in multiple asset classes and funds
  • Develop strong business relationships with both internal and external stakeholder including fund managers, investors, auditors, tax agents etc
  • Other ah-hoc administrative duties

Job Requirements

  • Degree in Accountancy, ACCA, CA or professional qualifications
  • Minimum 5 to 10 years of relevant experience (preferably in fund houses and fund administrators)
  • Strong knowledge of report standards including IFRS, SFRS and RAP 7.
  • Positive attitude with great communication skills, meticulous, analytical and the ability to work effectively in a team.
  • Individuals who are detail-oriented, comfortable and meticulous to figures and driven to meet deadlines.

Job Resoibsibilities

  • Build and maintain client relationships and act as primary fund administration client relationship manager for fund accounting and other related services
  • Be actively involved in business development to pitch for new client engagements
  • Set up the fund administrative services workflow and best practices, including evaluation of any fund accounting software where necessary
  • To handle all fund accounting activities which includes periodic financial statements, partner allocations, NAV calculations, annual reporting requirement, and capital activity statements etc
  • Assist in investor reporting, partner capital account statements, capital calls, distribution, equalization notices and client reporting are prepared and disseminated correctly
  • To provide support in multiple asset classes and funds
  • Develop strong business relationships with both internal and external stakeholder including fund managers, investors, auditors, tax agents etc
  • Other ah-hoc administrative duties

Job Requirements

  • Degree in Accountancy, ACCA, CA or professional qualifications
  • Minimum 5 to 10 years of relevant experience (preferably in fund houses and fund administrators)
  • Strong knowledge of report standards including IFRS, SFRS and RAP 7.
  • Positive attitude with great communication skills, meticulous, analytical and the ability to work effectively in a team.
  • Individuals who are detail-oriented, comfortable and meticulous to figures and driven to meet deadlines.