Roles & Responsibilities
Job Description
Reporting to the Associate Director of Client Operations, this is a unique opportunity to join a dynamic, fast-growing company in Financial Services.
You Will :
- Provide a full range of fund accounting services to private equity clients, including NAV preparation, booking accruals, security pricing, performing cash and security position reconciliations.
- Prepare pricing of portfolios ensuring all holdings are priced observing the applicable fund documents and valuation policies.
- Prepare capital call, distribution calculation and allocation.
- Prepare fee schedules including calculation of management fee and waterfall, ensuring all calculations observe applicable fund documents.
- Prepare Investor allocations for each NAV cycle ensuring capital transactions are booked correctly and P&L is allocated correctly.
- Prepare NAV packages and other ad hoc deliverables as defined in the service level agreements.
- Complete other ad hoc requests and projects.
- Communicate with internal MUFG teams and external clients, ensuring all deliverables and requests are met.
- Prepare / Assist with audited Financial Statements, audit assistance, and other regulatory services, as applicable.
Qualifications
Relevant years of experience within progressive accounting / audit / fund administration experience in private equity and real estates.Strong computer skills with strength in Microsoft Office products. Proficiency with Microsoft Excel is particularly asset.Strong knowledge in IFRS, US GAAP and Singapore GAAP.Experience with accounting software : Investran and Geneva would be an advantage
Tell employers what skills you have
IFRS
Microsoft Excel
Valuation
Investment Banking
Private Equity
Fund Administration
Service Level
Accruals
GAAP
Financial Statements
Scratch
Fund Accounting
Capital
US GAAP
Audit