Provide high quality efficient back-office support service to clients;
Perform the administration of and any services pursuant to administration agreements in respect of a portfolio of hedge funds, private equity and unit trust funds;
Prepare periodic Net Asset Valuation (NAV) calculations, financial statements and associated reports;
Work closely with the Transfer Agency team;
Adhere to the procedures and meet tight deadlines;
Actively review and/or sign off on standard controls including: cash and asset reconciliation; and
Liaise and resolve audit queries with fund auditors
JOB REQUIREMENTS
At least a Diploma in Accountancy or related fields
1–2 years of experience in accounting or audit is advantageous, but entry-level candidates with a strong interest in fund accounting are welcome to apply