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Securities Services Fund Accounting, perm

Securities Services Fund Accounting, perm

TangspacSingapore
7 days ago
Job description

Responsibilities

  • Works closely with internal teams to provide fund administration services to external fund managers in Asia and Asian asset owners
  • Able to work flexible working hours possibly morning / afternoon shifts and support Singapore public holidays.
  • Review daily, weekly and monthly NAV funds / portfolios in accordance with applicable Industry rmended accounting practices, accounting standard or specific constitutional documents.
  • Work with fund / portfolio accountants and liaise with different support functions to ensure NAVs are delivered in a timely manner to meet the agreed KPIs.
  • Provide accurate statistical data (KPIs etc.) on an as-scheduled basis and establish service excellence.
  • Ensure NAV calculations are accurately prepared and in line with the operational and system procedural manual.
  • Prepare operational and system procedural manuals to ensure that all operational risks are well under control and adequate for day-to-day activities.
  • Identifying and documenting “non-standard” process flows for proper documentation
  • Report and escalate operational or major incidents including any breach or error occurrences to the Management.
  • Participate in regular operational meetings to review any client and new business requirements.
  • Working pro-actively with Clients to resolve queries on action points relating to Fund Admin matters
  • Able to work closely under tight deadlines with client and auditors to meet client specific reporting requirements
  • Participating in transition planning and testing to ensure new processes or system functionalities can meet clients’ needs and requirements.
  • Involve in any new client take-on and migration activities.
  • Other ad-hoc duties may be required from time to time
  • Able to work independently on financial consolidation of multiple funds / portfolios internal and external for year-end financial reporting purposes for a key client.

Requirements :

  • University degree / post graduate degree in Finance or Accounting
  • Minimum 3 years in experience in Securities Services Fund Accounting or equivalent experiences
  • Experience with Multifonds accounting system preferred
  • Strong accounting knowledge
  • Goodmunication and interpersonal skills
  • Persistence / perseverance
  • Good operational / technical skills
  • Good analytical skills
  • Work location : CBD

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    Fund Accounting Perm • Singapore