Perm Senior Fund Accountant
Key Responsibilities:
\xc2\xb7 Review and verification of client deliverables, working with service providers and performing a first review of deliverables such as: - Monthly NAV statements - Quarterly Reports - Annual Reports - Currency Exposure Reports - Capital call and distribution calculations - All finance related investor correspondence - Other financial deliverables and calculations as required under fund documentation and investor agreements - Program performance calculations
\xc2\xb7 Contribute to the implementation and maintenance of accounting processes and systems.
\xc2\xb7 Assist with audit process and tax filings.
\xc2\xb7 Support controllers with portfolio budgets, cash-flow forecasts and reports to investors.
\xc2\xb7 Work closely with the transaction team assisting with ad hoc financial queries.
\xc2\xb7 Managing the treasury/cash management function of the mandates.
\xc2\xb7 Assist with the set-up, analyses and review of fund structures, joint venture structures and underlying inquiries Other
\xc2\xb7 Assisting the Fund Controller with: - Structuring and transaction related due diligence - Fee calculations including waterfall calculations - Monitoring of tax compliance across various jurisdictions - Continual monitoring of compliance with tax structuring and transfer pricing - Debt financing - Ad hoc projects
Qualifications & Experience:
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