Job Description
Join my client, a reputable financial services provider, as their Fund Accountant (Hedge Funds team). This role is end-to-end fund accounting with exposure to Unit Trust and Life accounting. The successful candidate will have 2-5 years’ experience with Unit Trust Fund Accounting/Pricing experience.
Responsibilities:
- Processing and setting up of audit, trustee, custody and management fees
- Ensuring Variation Margin is processed correctly and matches the Clearing House Statement daily
- Ensure capturing/processing of all 3rd Party duplication trades to the accounting system timeously and accurately (ensure they match the third-party valuation reports)
- Ability to manage client cash flows (subscriptions and redemptions) and ensure units in issue reconcile to Transfer Agency
- Understand how total fund performance is calculated and impacted with each entry captured
- Monitor and perform income distribution calculations for each fund class
- Understand tolerance level checking against a benchmark and are familiar with what is deemed as an unacceptable asset and NAV fund price variance
- Handling queries efficiently to ensure resolution of both internal and external client queries (in conjunction with the Client Delivery team)
Requirements:
- Minimum of 2-5 years of experience in Unit Trust Fund Accounting/Pricing is essential
- Relevant tertiary qualification
Please note that if you have not heard from us within 2 weeks of your application, please consider it as unsuccessful for this particular role. Please do though continue to follow us online and apply for suitable opportunities.