Fund Accountant Resume Samples

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RH
R Harber
Rafaela
Harber
95672 Santiago Mount
Los Angeles
CA
+1 (555) 165 2618
95672 Santiago Mount
Los Angeles
CA
Phone
p +1 (555) 165 2618
Experience Experience
Philadelphia, PA
Fund Accountant
Philadelphia, PA
Roob-Towne
Philadelphia, PA
Fund Accountant
  • Perform, or cause to be performed, operational reviews or audits of the developer or service providers, such as property management firms
  • Provide accurate management information to the asset managers regarding performance and historic trading analysis
  • Perform service provider quality monitoring, performance against SLA, and annual on-site due diligence of any external service providers
  • Assist the Fund Accounting Section Manager in Providing employees with objectives
  • Provide ad hoc reports to the asset managers regarding performance and historic trading analysis
  • Assist with manage of all capital calls, distribution of funds and cash flow management for entire $5b portfolio
  • Working closely with Portfolio Management to manage capital calls and distributions to investors in accordance with the fund agreements
Chicago, IL
Msfs Fund Accountant
Chicago, IL
Schultz Inc
Chicago, IL
Msfs Fund Accountant
  • Adjust activity as necessary for performance processing and reporting
  • Verify performance by reviewing large P&L swings and analyzing income/expense journals for validity
  • Provide Accounting solutions to Hedge Funds for independent valuation, investor transparency and regulatory compliance
  • Perform and review position and value reconciliations. Identify and resolve all breaks
  • Perform daily, weekly and monthly securities pricing analysis
  • Execute sound judgment on escalating risk
  • Perform month end control processes, producing a month end control pack and sign off
present
Los Angeles, CA
Senior Fund Accountant
Los Angeles, CA
Kozey LLC
present
Los Angeles, CA
Senior Fund Accountant
present
  • Works with partner groups and assists in the development of new procedures or enhancements to current processes to improve team productivity
  • Provide assistance to Assistant Manager in reviewing pre-NAV packages and final fund price packages submitted by Fund Accountants
  • Assist Management in developing new internal processes and workflows to facilitate a more formalized approach to the Firm’s fund administration function
  • Assist in coaching and developing junior team members for their individual development
  • Work with portfolio manager and traders for the assigned fund to improve knowledge of financial products and trading strategies
  • Review of more junior staffs’ work and assist in their supervision along with the Assistant Vice President
  • To assist in the review of other Fund Administrator's work including sign off of valuations as well as other ad-hoc work, i.e. dealing, fee analysis, etc
Education Education
Bachelor’s Degree in Accounting
Bachelor’s Degree in Accounting
Virginia Commonwealth University
Bachelor’s Degree in Accounting
Skills Skills
  • Demonstrate a strong working knowledge of multiple class accounting, and a strong working knowledge of a variety of investment vehicles
  • Microsoft Excel proficient (V-Lookups, Pivot Tables, SumIfs, Data Tables, etc.)
  • Proficiency in using Microsoft packages particularly Excel. Knowledge of Visual Basic would be beneficial but not essential
  • Strong proficiency with Microsoft Excel and working knowledge of other Office programmes
  • Excellent attention to detail and ability to identify issues of potential risk
  • Strong Excel knowledge (Pivot Table, Sumif, Sumifs, V-lookup)
  • Strong Excel knowledge (Pivot Table, Sumif, Sumifs, Vlookup)
  • Solid MS Excel knowledge
  • Knowledgeable in financial statement preparation
  • Strong analytical skills (ability to opine on corporate actions
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15 Fund Accountant resume templates

1

Msfs Fund Accountant Associate Resume Examples & Samples

  • Adjust activity as necessary for performance processing and reporting
  • Perform and review position and value reconciliations. Identify and resolve all breaks
  • Account for non standard transactions including OTC derivatives
  • Involvement in preparation of year end Financial Statements and provision of data to auditors
  • Qualified ACCA/CIMA/CA accountant or qualified by experience
  • Previous Fund Accounting experience preferable
2

Msfs Fund Accountant Associate Resume Examples & Samples

  • Previous Fund Accounting experience preferable or derivatives experience
  • Balance Sheet and P&L experience essential
  • Ability to communicate effectively across cultures; strong interpersonal and communication skills, both written and verbal
  • Experience gained from asset manager, fund administrator, public accounting firm, prime brokerage or securities servicing firm essential
3

O&t-icg-senior Fund Accountant Resume Examples & Samples

  • Third level qualification with at least 4 years relevant experience
  • A structured and determined approach to work, a willingness to take ownership of problems and an ability to communicate with clients and colleagues at all levels
  • Proven ability to develop and maintain a tight control environment
  • Highly PC literate (e.g. Excel, Word)
  • Experience and understanding in providing high level service to VIP clients
  • Planning and problem solving
  • Adaptability/flexibility
4

O&t-icg-senior Fund Accountant Resume Examples & Samples

  • University graduate, major in Accounting or other related disciplines
  • Minimum 8 years experience in accounting (preferably public accounting and/or experience in the financial services sector)
  • Advanced computer skills especially Microsoft Excel
  • Partnership accounting preferred
  • Team player and display role model
5

Fund Accountant AVP Resume Examples & Samples

  • Undertake technical reviews of the NAV’s to ensure that funds are accurate
  • Undertake value add reviews of the NAV’s and funds accounting / balance sheet reviews to ensure funds are accounted for correctly and in line with the SORP
  • Actively look for efficiencies across all of the Valuations teams
  • Ensure adherence to procedures and internal policies are adhered to. Input into risk and compliance reviews both internal and with the client
  • Act as the Valuations Lead on projects and process improvements
  • Keep up to date on regulatory change impacting the fund pricing
  • Look for ways opportunities for efficiencies, allocate resources and drive new developments and enhancements forward for the team
  • Deputise for Manager at internal and external meetings
  • Assist the valuations teams on ad-hoc technical queries and requests
  • To provide technical training to the valuations BAU team on specific product and fund accounting areas
  • Share specialist knowledge with colleagues
  • Maintain own standards of excellence
  • Promote implementation of company initiatives in line with the organisations vision and strategic direction
  • Highly numerate and accurate
  • Financial understanding and analytical skills
  • Investigative skills
  • Continuous improvement
  • Giving and receiving feedback
  • An in depth knowledge of the daily operations process
  • Relevant systems knowledge including Multifonds, FSR Infocentre and Excel
  • Experience of analysing data
  • Quality Assurance/checking
  • Current accounting framework and regulatory environment
  • The internal systems network relating to gathering information
  • Citigroup policy / guidelines on continuity of business
  • An understanding of our clients businesses and our impact on them
  • The role holder will have relevant experience in fund accounting and valuations and will either
  • Hold a recognised professional accounting or investments qualification
  • Or Have sound business knowledge and experience and would be willing to embark on study towards a recognised professional accounting qualification or investment qualification
6

O&t-senior Fund Accountant Resume Examples & Samples

  • Bachelor’s degree in Accounting. CPA a plus
  • 3-5 years experience in audit / alternative investment industry
  • Knowledge of IFRS; US GAAP preferred
  • Understanding of Partnership Accounting
7

O&t-icg-fund Accountant, Private Equity Resume Examples & Samples

  • Bachelor’s degree in Accounting or equivalent work experience
  • Must have knowledge of general accounting and reconciliation practices and procedures
  • Must understand
  • Cash recording and reconciliation
  • Non-Cash Entries o Investment Activity o Financial Statement preparation
  • Ability to follow process and achieve deliverables
  • Ability to follow established accounting guidelines and assist with planning by gathering information
  • Ability to interact with all levels within the organization and at clients
  • Position must have demonstrated skills with designing spreadsheets and creating reports
8

Senior Fund Accountant Resume Examples & Samples

  • Maintain highest level of service quality and performance in compliance with LFA mission and objectives
  • Ensure accurate net asset value calculation and maintain accurate accounting records for selected clients
  • Complete / review accurately daily, monthly and annual control checklists
  • Ensure that all exceptions raised during the NAV process are duly investigated and justified
  • Assist the Supervisors in the NAV reviews and validations processes
  • Assist with the organisation / planning of the day-to-day operations and logistics of the team
  • Support management in delivery of projects and in treatment of administrative matters
  • Ensure compliance of NAV calculation and accounting records with accounting policies and GAAP
  • Collaborate with COE centres (Trade Processing, Reconciliations, Pricing and FA teams)
  • Cover for the absence of the Supervisor
  • Good knowledge of accounting, finance and capital markets – expertise in Fund accounting and
  • Would have minimum of five years work experience
  • Good understanding of overall department processes and systems and Fund accounting product and services
  • Expertise in certain areas (securities and markets, derivatives, tax, etc)
  • Effective and routine execution of all core transactions
  • High level of theoretical knowledge and/or extensive professional experience
  • Having an impact on the performance of the Fund accounting department
  • Strong interpersonal skills in being able to deal with a range of senior/junior staff across a number of disciplines
  • Duties involving advisory functions, management and/or supervision of a group of persons and generally subject to regular checks
  • A strong sense of initiative, creativity and ability to work independently
  • Good human relations
  • Attention to detail and the ability to meet reporting and project deadlines
  • Co-Manages a small team, understands and applies basic managerial principles
9

Fund Accountant Resume Examples & Samples

  • Performing daily checking processes to ensure all entries are properly recorded for unitholders transactions, security trade transactions, system generated or manually processed transactions for fund price valuation
  • Monitoring cash movements and notify client, if required, to raise sufficient cash to cover cash outflow due to trade settlements, redemption or rebalancing transactions
  • Performing bank reconciliation, asset reconciliation and monthly working paper packages and investigating any differences on a timely basis Liaising with Custody to ensure outstanding items due to cash, security transactions or corporate actions are resolved on timely basis
  • Updating book records accordingly for validated adjustment entries or special requests from clients
  • Ensuring funds receive dividend income, interest income, and others income in accordance with expectations. Investigating discrepancies where appropriate. Ensuring all financial transactions are correctly accounted for in the investment and financial records of the funds
  • Performing all record-keeping transactions in accordance with regulatory requirements
  • Preparing reports and performing checking and reconciliation on reports as required for clients, auditors or other internal and external business partners. Maintaining productive working relationships with all clients
  • Maintaining own standards of excellence
  • Over two years of accounting experience, ideally gained within investment operations environment (fund valuation)
  • Bachelor Degree in Accounting, Finance, Business or enrolment in an accounting designation (CGA, CMA, CPA, CFA)
  • Strong Microsoft Excel and Word skills. Experience of Bloomberg is an advantage
  • Attention to detail is a requirement. Good investigative and analytical skills
  • Excellent written/verbal Communication
  • Ability to learn quickly, to work to a high degree of accuracy and meet deadlines
10

Fund Accountant Resume Examples & Samples

  • Performing bank reconciliation, asset reconciliation and monthly working paper packages and investigating any differences on a timely basis
  • Liaising with Custody to ensure outstanding items due to cash, security transactions or corporate actions are resolved on timely basis
  • Experience of Bloomberg is an advantage
  • Good investigative and analytical skills
11

Fund Accountant Resume Examples & Samples

  • Ensuring funds receive dividend income, interest income, and others income in accordance with expectations. Investigating discrepancies where appropriate
  • Ensuring all financial transactions are correctly accounted for in the investment and financial records of the funds
  • Preparing reports and performing checking and reconciliation on reports as required for clients, auditors or other internal and external business partners
  • Maintaining productive working relationships with all clients
12

Fund Accountant Resume Examples & Samples

  • Preferably with bachelor's degree in Accounting, Finance or Business and/or relevant professional qualification such as CPA, ACCA or CIMA
  • Candidate with diploma in Accounting/Finance/Commerce/Economics/Business Administration will be considered as well if possess the relevant financial industry knowledge
  • Candidate with at least 2-4 years of experience in audit, fund accounting, trustee services, compliance monitoring or securities settlement in a bank or asset management company would be added advantage but not compulsory
13

O&t-senior Fund Accountant Resume Examples & Samples

  • Diploma/degree in Accounting, Business or related accounting qualifications such as CPA, ACCA or CIMA
  • At least 2-3 years experience in fund accounting or fund management company or equivalent
  • Ability to work on shifts and on Singapore public holidays
  • Essential attributes include excellent communications and interpersonal skills
  • Ability to handle multiple client relationships as well as good analytical and problem-solving skills
  • Proficiency in MS Excel and Word is a must; whilst familiarity with MS PowerPoint and Access will be an advantage
14

Senior Fund Accountant Resume Examples & Samples

  • Reviewing bank reconciliation, capital stock reconciliation, asset reconciliation and preliminary NAV reconciliation packages for the funds assigned
  • Reviewing monthly working paper file and semi-annual and annual audit working paper packages
  • Performing fund valuation processes for the funds assigned
  • Filling in absent staff members by taking over some daily fund duties if necessary. Send fund prices and other related reports to clients, Shareholder system and other internal or external parties as required
  • Assisting Supervisors in reviewing the final NAV packages
  • Assisting Supervisors on reviewing reports and reconciliation prepared by fund accountants as required
  • Preparing and reviewing mock and annual distribution packages for funds assigned
  • Assisting Supervisors to train and guide fund accountants to perform daily, weekly and monthly processes as assigned. Assisting in special projects, where required
  • At least one year or more fund accounting or hedge fund accounting experience. Over two years of accounting experience, ideally gained within investment operation environment (fund valuation)
  • Formal accounting education
  • Bachelor Degree in Accounting, Finance or related discipline or enrolment in an accounting designation (CGA, CMA, CPA, CFA)
  • Previous experience on multi-series, multi-managers fund, and fund on funds. Experience with derivative instruments, such as futures, forward and options etc. Previous experience on the MPower Accounting system is preferred
  • Ability to work as team player
15

Fund Accountant Resume Examples & Samples

  • Managing a number of client relationships
  • Maintaining the share register for these client’s funds
  • Providing Banking Services for these clients
  • Provide Register Offices Services for the funds
  • Preparation of NAV and financial statements for a portfolio of Funds
  • Liaise with auditors including preparation of accounts and supporting schedules
  • Ensures first line of review and validation procedures are completed
16

Fund Accountant Resume Examples & Samples

  • Precise and timely performance of the pre- & post-NAV activities for the assigned products, including end controls, evidence and validation (release)
  • Manual bookings assuring the 4-eyes principle
  • Timely performance of the cash reconciliation
  • Proper filing, archiving of all documents and assuring the clear desk policy
  • Performing of special, periodical, non-product-related tasks, in an alternating mode with other team members
  • Preparing and performing of year-end tasks (specific year-end closing and fund distribution controls)
  • Supporting internal and external auditors
  • Responding to queries from internal and external parties
  • Functional assistance for new team members
17

Fund Accountant Resume Examples & Samples

  • Candidates should possess a Bachelors Degree with a major in accounting
  • Candidates would ideally be a qualifed accountant (CPA, CMA etc.) with preferably at least two years post qualification experience in fund administration, and/or audit
  • Understanding of the Hedge Fund Industry and the related accounting standards
  • Understanding of Operational Risk Control as it relates to Hedge Fund Administrators
  • Computer literate with experience of computerized portfolio fund accounting - Geneva and register & transfer agency packages - hedgetek
  • LI-HB1
18

Fund Accountant Resume Examples & Samples

  • Issuing P&L reports on a daily basis
  • Performing month-end close processes/financial statement preparation
  • 3+ years experience in one of the following areas: Investment Accounting, Product Controller, Audit, Accounts Payable-Receivable or Budgeting working for either a Prime Broker, Administrator, Hedge Fund, Mutual Fund, Investment Advisor or Financial/Retirement Planner
19

Fund Accountant Resume Examples & Samples

  • Performing financial statement preparation and review
  • Providing quarterly data for all aspects of regulatory reporting (ie PF, CPO-PQR, 13-F)
  • Working on a global team which is responsible for reconciling cash/securities to outside sources, pricing the fund portfolios, and calculating daily profit and loss
  • Strong analytical skills (ability to opine on corporate actions
  • Geneva software knowledge a plus
20

Senior Fund Accountant Resume Examples & Samples

  • Accounting for and reconciliation of cash, investments and real property
  • Recording and reconciling of purchase and sale transactions
  • Performing other tasks as required
  • The successful candidate must have great organizational skills and be able to handle complicated work efficiently and effectively
21

Fund Accountant Resume Examples & Samples

  • Prepare financial statements and partner capital account statements (quarterly and annually)
  • Assist with the preparation of quarterly investment fund reports
  • Gather and manage portfolio investment valuations and perform variance analysis (quarterly and annually)
  • Review underlying investment holdings’ information including cost, fair market value, capital calls, distributions, unrealized gains/losses for completeness and accuracy
  • Manage and evaluate general ledger, trial balance, and journal entry inputs for various funds
  • Assist with tax-related projects and filings
  • Review fund level expenses and income
  • Respond to investor inquiries
  • Assist with compliance-related projects and filings
  • Prepare ad hoc reports and analysis as needed
  • BA/BS in accounting or related studies
  • 1-4 years of relevant accounting experience
  • Proficient in MS Office, especially MS Excel
  • Must be self-motivated and enjoy challenging established processes to constantly improve efficiency
  • Public accounting or fund accounting experience
  • CPA licensee or CPA candidate
  • Experience working in small teams
22

Fund Accountant Resume Examples & Samples

  • Professionalism, and responsiveness to liaise with Auditors and Tax Preparers for Funds
  • Confirming validity of corporate actions and significant price changes with independent source
  • Analytical review of daily and monthly results
  • CPA or CPA candidate a plus
  • Flexible
23

Fund Accountant Resume Examples & Samples

  • Managing a number of client relationships for single manager or fund of hedge fund
  • Preparation of NAV (net asset valuation) and financial statements for a portfolio of funds
  • Maintaining the share register for hedge funds
  • Processing banking transactions
  • Provide Registered Office Services for the hedge funds
24

Fund Accountant Resume Examples & Samples

  • Overseeing the financial and management reporting made by the developer, external bookkeepers, property managers and the fund administrator in accordance with generally accepted accounting principles, governing agreements (such as property management agreements, Fund agreements) and in accordance with accounting and reporting guidelines)
  • Ensure property valuations are accurately reconciled/reported by the fund administrator
  • Review and agree the Funds quarterly Net Asset Value (NAV) calculation. Ensure appropriate review procedures are in place to test for completeness and accuracy
  • Ensure or cause to be timely collected, received and remitted to the custodian, as applicable, excess cash flow from operations
  • Working closely with Portfolio Management to manage capital calls and distributions to investors in accordance with the fund agreements
  • Review bank reconciliations for all Funds and property entities prepared by the external administrator
  • Prepare, or cause to be prepared and review, monthly, quarterly or semi-annual unaudited financial reports of the Funds, meeting the reporting requirements and delivery dates of the Funds
  • Prepare, or cause to be prepared and review, annual audited financial statements of the Funds
  • Manage the audit process for the Funds
  • If directed, prepare, or cause to be prepared and review, such other reports or accountings as may reasonably deem to be necessary
  • Ensure Fund income and expenses are recorded in the appropriate accounting period. Prepare accruals as necessary
  • Ensure all fees are calculated, billed, paid and recorded by the Funds, as applicable, in accordance with agreements
  • Working closely with Portfolio Management, prepare or cause to be prepared performance reporting for the Funds. This reporting may include IRRs and time-weighted returns
  • Ensure that compliance report for any debt covenants of the Funds or its properties are produced and provided in time
  • Perform, or cause to be performed, operational reviews or audits of the developer or service providers, such as property management firms
  • Together with Portfolio Management prepare and obtain approval of the annual budgets for the Fund in accordance with the Fund terms and agreement
  • Assist in the management of obtaining external third party bank debt for the fund and the on-going management requirements of the third party bank debt
  • Perform Account Payables function (e.g. taxes, audit fees, external fees, professional fees, broker fees, etc.)
25

Fund Accountant Resume Examples & Samples

  • Accounting (GAAP) for several of the firm’s fund products, including monthly valuation procedures, with a focus on hedge funds and fund of funds
  • Preparation and review of monthly, quarterly and annual financial statements with supporting documentation
  • Continuous cash reconciliation procedures for fund investment purposes
  • Custom reporting and projects for investor specific needs
  • Bachelors’ degree in Accounting (strongly preferred) or Finance or commensurate experience
  • 2-4 years of relevant accounting work experience. Investment or fund accounting experience is desirable, as is public accounting (auditing) experience
  • Fluent in Microsoft Office products, emphasis on Excel
26

Fund Accountant Resume Examples & Samples

  • Assist in the production of daily, weekly and monthly NAV, ensuring completion of specified tasks per NAV checklists
  • Oversee and/or review of the processing of NAVs across all fund types
  • Prepare daily profit and loss reports and review for reasonableness
  • Facilitate, prepare and/or review of the fund’s annual financial statements
  • Assist in fund migrations and new clients’ onboarding processes
  • Assist in efficiency projects and review and streamline operation processes to be effective and efficient
  • Ensure pre agreed internal and external deadlines are met consistently
  • Assist in the training and supervising of new staff
  • Bachelor’s degree with exposure to finance or any other analytical course work
  • Fund Accounting Experience or Asset Manager accounting experience are essential
  • Minimum 5+ years Post Qualified experience (CA or CPA)
  • Good eye for detail and ability to work under pressure during critical deliverable time
  • Team player and ability to build rapport with internal and external stakeholders
  • Good understanding of the Fund industry or asset management industry
  • Strong understanding of GAAP, IFRS and their applications to the Fund industry
  • PC skills (Excel, Word,etc.)
27

Senior Fund Accountant Resume Examples & Samples

  • Assisting Supervisors to train and guide fund accountants to perform daily, weekly and monthly processes as assigned
  • Assisting in special projects, where required
  • At least one year or more fund accounting or hedge fund accounting experience
  • Over two years of accounting experience, ideally gained within investment operation environment (fund valuation)
  • Formal accounting education- Bachelor Degree in Accounting, Finance or related discipline or enrolment in an accounting designation (CGA, CMA, CPA, CFA)
  • Experience with derivative instruments, such as futures, forward and options etc
28

Fund Accountant Resume Examples & Samples

  • Preferably with bachelor’s degree in Accounting, Finance, Business or relevant professional qualification such as CPA, ACCA or CIMA
  • Candidate with diploma in Accounting, Finance, Commerce, Economics or Business Administration will be considered as well if they possess the relevant financial industrial knowledge
  • Candidate with at least 5 years experience in audit, fund accounting, trustee services, compliance monitoring or securities settlement in a bank or asset management company would be added advantage but not compulsory
  • Has the potential to lead a small group of fund accountant and act as deputy to the manager
29

Senior Fund Accountant Resume Examples & Samples

  • A bachelor's degree in accounting. CPA a plus
  • Minimum 3 years accounting experience within the financial services industry or public accounting firm
  • Solid analytical skills and ability to understand and resolve complex problems; and
30

O&t-icg-senior Fund Accountant Resume Examples & Samples

  • 2-3 years of experience in hedge fund industry
  • Solid understanding in various fund structures, complex investment products and fees calculation
  • Knowledge in PE funds is an advantage
  • Ability to work under pressure and deliver within agreed deadlines
  • Highly PC literate (e.g. Excel, Word, Bloomberg)
31

Fund Accountant Resume Examples & Samples

  • Managing a number of private equity client relationships
  • Provide Registered Office Services for the funds
  • Maintain the books and records for these funds, including the partners' capital accounts
  • Preparation of periodic reporting and financial statements for a portfolio of funds
  • Liaise with auditors including preparation of annual financial statements and supporting schedules
  • Ensure first line of review and validation procedures are completed
  • Prepare capital call notices for dissemination to investors and track receipt of the funds
  • Calculate waterfall distributions, prepare distribution notices and enter distribution payments
  • Prepare ad-hoc reporting as and when requested by clients
  • Liaise with investors and ensure any queries are answered in a timely manner
  • Supervise bank debt processing team and provide support in troubleshooting issues related to complex loan positions
32

Fund Accountant Resume Examples & Samples

  • Maintain proper accounting records for a number of funds
  • Organize own workload in order to meet agreed deadlines
  • Validate all data in the fund
  • Provide cover for colleagues and/or direct supervisor
33

Fund Accountant Resume Examples & Samples

  • Assist the Fund Accounting Section Manager in Providing employees with objectives
  • Manage staff assignments in conjunction with client deliverables
  • Manage Daily, Weekly, Monthly, Quarterly and other periodic activities, including
  • Recording of expense activity
  • Undergraduate degree in Accounting or related field
34

Senior Fund Accountant Resume Examples & Samples

  • Minimum of 2 years in a Hedge Fund Accounting environment
  • Displays an active interest in the financial markets and hedge fund industry
  • Proficient in Microsoft Applications (Word, Excel etc)
35

Senior Fund Accountant Resume Examples & Samples

  • 1) Security Pricing / Currency Exchange
  • Create any New Security Profile (in details) in Systems
  • Update/validate any re-active Security Profile (in details) in Systems
  • Review security classifications to ensure GICS and other classification standards are followed
  • Update Currency Spot/Forward Exchange Rates and review large variances against Other Source
  • Monitor Currency Spot Rates between Noon time and 4PM, and update them when applicable
  • Review Price Exception and Variance Reports against Bloomberg
  • Maintain Excel spreadsheets for unlisted securities (derived prices based on formulas)
  • Ensure Options, Futures, and Indices market prices are updated accurately
  • To verify security price variances identified by Fund Accounting Teams at Pricing time
  • Prepare and 1st review Static Prices on a weekly basis
  • 2) Corporate Actions / Dividends
  • On Ex-date basis, to record Cash Dividend information (Record date, Payment date, Dividend rate, Currency, … etc.) in Fund Accounting system dBs for all securities held
  • Monitor securities with missing/amended dividend information for any updates
  • Research / Analyze all corporate actions effecting securities held
  • Process corporate actions in the Fund Accounting System dBs
  • Ensure Safekeeping discrepancies resulting from corporate actions are resolved in a timely manner
  • Maintain Access dBs of all corporate actions processed
  • Over 2 years experience in Fund Accounting / Financial Services Industry
  • Undergrad/College, preferably in Finance or Accounting related discipline
  • Strong experience in Microsoft Excel (Knowledge in Marco is an assets)
  • Experience with various security instruments, such as
36

Senior Fund Accountant Resume Examples & Samples

  • 2-5 years of public accounting experience or a combination of public accounting/private industry experience
  • Experience with hedge fund / private equity clients
  • High GPA and strong SAT scores
  • Experience with credit clients
37

Senior Fund Accountant Resume Examples & Samples

  • 3+ years private or combo
  • Hedge Fund or Private Equity experience
  • Experience with Bloomberg and IDC
38

Fund Accountant Resume Examples & Samples

  • 3-5 years of experience as a Financial Accountant
  • Team-orientated
  • Good interpersonal/communication skills
  • High GPA
  • Hedge fund/alternative investment experience
39

Fund Accountant Resume Examples & Samples

  • 2+ years of public experience with high yield hedge fund experience
  • Experience with Net Asset Value and Reconciliations
  • Experience with Corporate debt
40

Fund Accountant Resume Examples & Samples

  • Preparing quarterly and annual financial statements for seven funds with combined AUM of $3.8 billion
  • Maintaining partners' capital accounts information and preparing statements for distribution to clients
  • Initiating capital calls, distributions, and preparation of notices for dissemination to investors
  • Calculating quarterly billed management fees
  • Recording all accounting transactions and monitoring cash activity daily; including external co-investments
  • Preparing and reviewing tax packages and work papers for external auditors
  • Working closely with external tax accountants to develop tax provisions and predictable tax payments
  • Maintaining the remaining capital commitment and investment schedules
  • Reviewing partner transfer documents and partnership agreements
  • Providing prompt and professional communications in all aspects in resolving investor inquiries
  • 2+ years private equity fund accounting experience
  • BA/BS in Accounting
  • Private/public accounting experience
  • Experience with Month-end close
  • Proficient with Investran
41

Fund Accountant Resume Examples & Samples

  • Preparation of the valuations for Private Equity Companies/Funds
  • Preparation of the financial statements for Private Equity Companies/Funds
  • Preparation of consolidation calculations for Private Equity structures
  • Bookkeeping / Cash Management
  • Daily client management, assist in the maintenance of calls/distributions/shareholders information
  • Progress to completion the audit process for Private Equity Companies/Funds
  • Preparation of ancillary tasks - Payment of periodic fees, Directors fees/PAYE/PRSI, VAT returns, filing requirements/report preparation etc
  • Preparation & collation of reports for board packs
  • Assisting in the preparation of minutes and agendas pertaining to Private Equity Board meetings
  • Interpretation of Private Equity investment legal documents and completion of any administration actions there on
  • Fulfil additional, relevant tasks appropriate to the role and business requirements
  • Previous experience in an accounting environment e.g. a sound knowledge of debits and credits, financial statements production, consolidation workings & minute preparation
  • Exposure to interpretation of legal documents
  • Exposure to transfer agency
  • Ability to work as a team member
42

Fund Accountant Resume Examples & Samples

  • Supervise the daily P&L production and control environment, through review of risk and performance metrics
  • Control and review of trading data in-flow to the P&L production tool and discussion of this data with the trading desk
  • Management of external vendor relationship
  • Enhance commentary on daily and monthly P&L, and daily, weekly and monthly balance sheet
  • Supervision over monthly balance sheet controls, and ultimate ownership of balance sheet sign off
  • Active participation in a variety of change programmes, including risk management system upgrades, and Finance transformation workstreams
  • Liaison with internal and external audit teams, ownership of audit points and actions
  • Acting as chairperson in mandated governance forums with key stakeholders
  • Liaison with trading desk, Valuations, front-office support, Operations and Global Reporting, to discuss and resolve ad hoc issues concerning bookings, valuations, new business, strategy and other areas This is a challenging role with exposure to varied Rates and Credit products and the trading desk
43

Fund Accountant Resume Examples & Samples

  • 2-4 years of experience in public or private accounting with audit experience specializing in financial services or fund administration
  • Strong product knowledge of structured credit a bonus (CMBS, RMBS, CDS, corporate bonds, etc.)
  • Geneva experience a bonus
44

Fund Accountant Resume Examples & Samples

  • 2-4 years hedge and PE experience
  • Bank debt /distressed debt experience a plus
  • Big 4 experience a must, CPA preferred
45

Fund Accountant Resume Examples & Samples

  • 1-3 years experience with a hedge fund administrator, accounting firm or hedge fund, with focus on fund administration
  • Bachelors' degree in Accounting or related field
  • Preferably be a qualified or part qualified accountant
  • Have excellent communication and interpersonal skills
  • Be proficient in the Microsoft Office suite of software applications
  • Have a working knowledge of Bloomberg
  • Be able to demonstrate an understanding of funds, fund structures, fee calculations, trading strategies, financial instruments and fund offering documentation
  • Ensure timely and accurate NAV calculations on a monthly and/or quarterly basis
  • Reconcile cash and security transactions
  • Assist with asset tracing and cash reconciliation tasks within the context of forensic accounting assignments
  • Price portfolios including equities, options, futures, OTCs, FX and fixed income securities
  • Respond to client and investor queries in a timely and efficient manner
  • Assist in with preparation of audited financial statements
  • Assist with review and reconciliation of audited financial statements
  • Prepare reporting for the regulatory authorities and both US and Cayman Court requirements
  • Assist the forensic and corporate recovery groups, as required
  • Perform other duties as assigned and incidental to the work described above
46

Fund Accountant Resume Examples & Samples

  • Minimum of Bachelor's Degree in Accounting or Finance
  • 7-10 years of real estate accounting experience; preferably fund accounting
  • Strong knowledge of GAAP, tax and cash basis financial reporting
  • Advanced proficiency in MS Excel
  • Clear communicator with ability to interact with senior leaders and staff
  • A mature professional with excellent judgment, interpersonal skills and ability to work independently or as part of a team
47

Fund Accountant Resume Examples & Samples

  • Understanding of general ledger system and operations
  • 4-5 years of accounting experience (either public or fund accounting)
  • Debt experience preferred
48

Fund Accountant Resume Examples & Samples

  • Accounting or finance education
  • 1-2 years of public accounting, hedge fund, or administrator experience
  • Advent Geneva experience
  • Intermediate knowledge of Excel
49

Fund Accountant Resume Examples & Samples

  • Hold a third level degree (essential) and a professional accounting qualification is desirable
  • Have a minimum of two years fund accounting experience
  • Have extensive Net Asset Valuation (NAV) experience
  • Have a full working knowledge of Single Manager and Fund of Fund NAV process through to review stage
  • Have a proven track record of working to deadlines
  • Be motivated and positive with a strong work ethic
  • Have strong IT skills including MS Excel
50

Fund Accountant Resume Examples & Samples

  • Performs routine duties and data analysis for mutual funds or separate accounts
  • Reconcile various accounts, research variances and correct as required, conduct daily verification of capital flows, conduct ad hoc research and analysis, may perform other tasks as directed
  • Experience of OEICs and Unit Trusts
  • Bachelors in accounting or finance or equivalent
  • Knowledge of SORP accounts beneficial
  • Accountancy qualification would be beneficial but not essential
51

Fund Accountant Resume Examples & Samples

  • The Fund Accountant's core responsibility will be to understand the products in the fund and coordinate the production of daily and weekly NAVs (Net Asset Values) by reconciling the valuations with the administrator
  • The funds trade a wide variety of fixed income credit cash and derivative products, including credit default swaps, total return swaps, par loans and distressed debt. More specifically, many of the more complex products traded are in the emerging market debt and High Yield area
  • Internally, the candidate will need to be able to establish good working relationships with the Operations department, the Risk team, Performance team, the Portfolio managers and the traders. Externally, the candidate will have daily interaction with the administrator as well as involvement with the external auditors
  • Ultimately the candidate will need to be totally familiar with all aspects of the accounting for the funds
  • Other duties will involve supervising other team members, obtaining internal sign-off from the portfolio management team on a daily basis, investigating significant price fluctuations and cash breaks, responding to ad-hoc queries from the administrator and preparing reports for both internal and external parties
  • Experience of fixed income credit products, gained in an investment banking, hedge fund, asset management or audit environment preferred, theoretical understanding required
  • Fund accounting experience is desirable
  • Good organization skills and attention to detail
  • Adherence to deadlines
  • Strong academics
  • Analytical background evidenced by a good scientific, business or economics degree
  • Systems experience and aptitude are essential
  • The successful candidate will be excited by the prospect of joining a dynamic growing company
  • Experience of Invest One or another fund accounting system is desirable but not essential
52

Senior Fund Accountant Resume Examples & Samples

  • 1-3 years of Big 4 experience
  • GPA 3.75+ and strong SAT scores
  • Financial services audit experience
  • One (1) to three (3) years of applicable experience
  • A bachelor’s degree with strong academic track record
  • Excellent written and oral communication abilities
  • The ability to think independently and provide sound and practical solutions to problems
  • Positive attitude and the excitement and willingness to tackle any project
  • Demonstrated strong work ethic and a diligent, responsible personality
53

Fund Accountant Resume Examples & Samples

  • 2+ years of related experience in Accounting for a Fund Administrator or Hedge Fund
  • Previous experience with Corporate / Hedge Fund / Investment Partnership Accounting, Financial Statement Preparation, GAAP, General Ledger, Month-end Close, Net Asset Value and Variance Analysis
  • Working knowledge of Advent and/or Geneva
54

Senior Fund Accountant Resume Examples & Samples

  • 3+ years of Fund Accounting experience
  • Knowledge of MRI, Yardi, or Investran
  • Experience in Limited Partnership Accounting
  • Private Equity / Real Estate Fund Administration experience
  • Knowledge of REIT structures and testing
55

Senior Fund Accountant Resume Examples & Samples

  • Display basic understanding of the hedge funds under administration (legal structure, investment objective, fee structure, liquidity provisions, etc.)
  • Display firm understanding of accounting concepts and current accounting principles
  • Daily/Monthly reconciliation of investment positions and market values
  • Trade processing
  • Generation and review of daily/monthly reports
  • Four year degree in accounting or finance required
  • Previous industry with financial services hedge funds/fund of funds a plus
56

Fund Accountant Resume Examples & Samples

  • Primary responsibility is to ensure completion of daily packages inclusive of morning, pre-tie and final (pricing reports) package
  • Daily reconciliation of capital stock and security transactions, as well as dividend and corporate action postings
  • Cash management of fund accounts ensuring timely trade settlements and minimum idle cash, ensuring funds do not fall into overdraft
  • Involved in the pricing process of the funds, including review of daily fund NAVs and movement of securities prices, conduct research when necessary
  • Prepare monthly fund packages (including reconciliation of custodian holdings of both cash and securities; sub-ledgers and general ledger)
  • Act as backup to Fund Accountants for vacation, sick days, etc. This would include completion of daily packages, booking entries, cash management, bank and other reconciliations
  • Additional responsibilities might include participation in projects, testing and
  • Implementation of new processes
  • Minimum 1 year of experience in fund accounting with equity and fixed income funds
  • Prior experience on a fund accounting system a definite asset
  • Prior experience in valuations of large and complex funds
  • Sound knowledge of various investment products and accounting principals
  • Prior experience in the pricing process for equities and bonds; knowledge of Bloomberg and Aladdin an asset
  • Advanced MS office skills, specifically Excel, PowerPoint and Word
  • Demonstrates ability to multi-task and flexibility with work load when required
57

Fund Accountant Resume Examples & Samples

  • Calculates daily net asset values (“NAVs” and distribution rates for the mutual funds-including multiple classes)
  • Transmits this information to NASDAQ and other required users
  • Analyzes all factors which may impact the NAV and escalates issues as appropriate
  • Maintains the funds’ books and records, including reconciling all general ledger accounts
  • Works to resolve issues relating to the funds with the appropriate parties
  • Performs research and analysis on cash discrepancies and dividend and interest income accrual/collection
  • Prepares work papers and related schedules for annual and semi-annual shareholder reports and annual audits in accordance with SEC and GAAP requirements
  • Works with the external auditors in answering Fund questions
  • Calculates the funds’ monthly SEC yields including analysis of changes from previous month
  • Assists in special projects for Fund Accounting as assigned
  • Proficiency with Microsoft Excel is preferred
  • Aptitude for learning new systems a plus
  • Interpersonal skills necessary to interact effectively with a variety of individuals are required
  • Fundamental understanding of accounting and financial principles as it applies to accounting entries, general ledger maintenance, recurring account reconciliations, and financial reporting
  • Ability to quickly learn unfamiliar concepts in a fast-paced environment (e.g. candidate will be required to develop a complete knowledge of multiple class accounting, and knowledge of a variety of investment vehicles)
  • Investment vehicles can include, options, futures, swaps, currency contracts, bonds, mortgage-backed securities, and equities for both domestic and foreign investments
  • Thorough understanding of internal control procedures
  • Analytical skills to solve fundamental accounting issues and have the ability to review detailed financial data
  • Ability to organize work and multi-task on projects/fund assignments efficiently and effectively to meet deadlines
  • Knowledge to utilize computer equipment and software, specifically spreadsheet applications and mutual fund accounting systems
  • The ability to cooperate in a team environment is critical
58

Senior Fund Accountant Resume Examples & Samples

  • Full responsibility for fund accounting process including
  • 3-7 years previous accounting experience required
  • Previous industry experience with financial services hedge funds/fund of funds a plus
  • Solid skills with Excel and MS Office a must
  • Detail oriented, flexible and a team player mentality
59

Fund Accountant Resume Examples & Samples

  • 3-8 years fund of funds or private equity experience
  • Bachelor's degree in Accounting with a minimum of 4+ years experience in private equity fund accounting
  • Strong working knowledge of PE fund of funds
  • Strong knowledge of partnership agreements
  • Strong knowledge of relevant US GAAP accounting requirements and audit process
  • Knowledge of relevant tax concepts
  • Highly proficient using Investran and Excel
  • Strong desire and ability to leverage technology
  • Ability to adapt and work in a fast-paced environment and shift priorities as necessary
  • Experience with Investran automation and reporting tools including Report Wizard, the interest and dividend AT, subsequent close AT, etc
  • Experience with Sungard DX
  • Knowledge of Lotus Notes, SAP and Sharepoint
60

Fund Accountant Resume Examples & Samples

  • Cash Reconciliation, Trade processing preparation & NAV Calculation
  • Preparation of fees / payments
  • Ensuring that operational checklists are followed
  • Ability to work on own initiative and to deadlines
  • Would suit someone living in Dublin North/Louth
61

Senior Fund Accountant Resume Examples & Samples

  • 3+ years of Public Accounting and/or Private Industry experience
  • Previous Hedge Fund or Private Equity experience
  • Experience with Distressed dEBT, Financial Reporting / Statement Preparation, GAAP, and Hedge Fund Accounting
  • Great interpersonal skill
62

Fund Accountant Resume Examples & Samples

  • Ability to learn accounting and financial principals for numerous investment vehicles
  • Effective problem solving and analytical skills
  • Prior accounting or finance experience and/or relevant experience within the financial services industry preferred
63

Senior Fund Accountant Resume Examples & Samples

  • Knowledge and understanding of accounting and financial principals for numerous investment vehicles
  • General knowledge and understanding of financial instruments including stocks, bonds, options and foreign securities and derivatives
  • Ability to effectively transfer information, competence, and experience to mentees and/or co-workers
  • Effective problem solving, organizational and analytical skills
  • Minimum of 2- 3 years of Mutual Fund Accounting experience required
  • Experience performing NAV calculations with complex securities required
  • Experience with Princeton Asset Management (PAM) system for Securities/Mutual Funds preferred
64

Senior Fund Accountant Resume Examples & Samples

  • Bank or business education with specialization and experience in fund accounting within a KAG
  • Funded experience with standard Microsoft Office applications (particularly Excel and Word, Access a plus)
  • Short/Medium Time work experience (> 2 years)
65

O&t-senior Fund Accountant Resume Examples & Samples

  • Review bank & securities reconciliations,
  • Gathering MIS and other ad hoc reports
  • Responsible for the timely delivery of accurate reports and other service deliverables to the clients
  • Assisting the team leader in planning and organizing the team to ensure timely and accurate delivery of unit prices/ NAVs and other reporting in accordance with agreed deadlines
  • Assisting in managing, coaching and developing team members for their individual advancement and for the benefit of the team. In so doing, foster and maintain strong team spirit and a healthy working atmosphere
  • Reviewing existing processes and procedures with a view to improving or reengineering them
  • Participating and supporting activities for audits (both internal and external) and liaising with auditors
  • Attend to queries and interact with counterparts such as clients/ prime brokers/ outsourced support team
  • Ability to work over time during month end peak operations
66

Senior Fund Accountant Resume Examples & Samples

  • Internal and external reporting functions, including audit, tax, and third party reporting
  • CPA or CPA candidate is a plus
  • Public accounting experience combined with industry experience is a plus
67

Fund Accountant Resume Examples & Samples

  • Strong MS Office
  • Ability to work on own initiative and to meet deadlines
  • Organisational
68

Fund Accountant Resume Examples & Samples

  • Ensure all periodic NAV deliveries and additional reporting deadlines are met in accordance with agreed client SLAs - this is to be achieved by retaining constant oversight of deliveries and attending daily governance calls when required
  • Act as key point of contact for all external client relationships and ensure the relationship is managed to a continual high standard
  • Facilitate continual process review and pro-active management of change process
  • Manage the review, reporting and resolution of any errors for all clients daily. Ensuring we partner with the EMEA team to deliver a satisfactory remediation plan
  • Fund Accounting or equivalent experience essential
  • Confident and motivated
  • Dealing with query management
  • Strong communication skills/networking /relationship management skills
  • Ability to plan and think ahead
69

Senior Fund Accountant Resume Examples & Samples

  • Performing the administration of any services pursuant to administration agreements in respect of a portfolio of hedge funds
  • Performing NAV calculation to review stage, including preparation of net asset value statements
  • Preparation of financial statements and other required reports on a monthly basis ensuring deadlines are met
  • Develop and maintain relationships with investors, investment advisors/managers, banks, brokers and auditors
  • Working with investor relations group and liaising with other departments within Citco as required
  • Work closely with Account Manager in the launch and set up of new funds
  • Training of new Fund Accounting staff
  • Review Fund Accountants' work
  • Preparing year-end file and liaising with auditors
  • Strong inter-personal skills
70

Fund Accountant Resume Examples & Samples

  • Knowledge of Market Data, Securities Administration, Corporate Actions and/or Valuations functions preferred
  • Preferably with at least 1 year experience in Fund Administration or another relevant area in Financial Services
  • Computer literate with MS Excel/Word and experience in Bloomberg preferred
71

Fund Accountant Resume Examples & Samples

  • Communicating effectively with colleagues through formalised reporting and liaison on ad hoc
  • Accountancy Qualification or Business degree or equivalent
  • Highers obtained (including A/B grade is preferred) or equivalent
  • 2 to 3 years previous experience of Financial Reporting for Unit Trusts, OEIC's or other collective
72

Fund Accountant Resume Examples & Samples

  • Calculates daily net asset values for the mutual funds (including multiple classes) and distribution rates
  • Transmits this information to the NASD when necessary
  • Analyzes all factors which may impact the net asset values (“NAV”) and communicates this information as appropriate
  • Maintains the funds’ books and records; this includes reconciling all general ledger accounts
  • Works with the outside auditors in answering Fund questions
  • Completes special projects for Fund Accounting as required
  • Serves as a mentor to other Fund Accountants for fund accounting issues and questions
  • Minimum of one plus year of fund accounting experience in the mutual fund industry preferred
  • Knowledge of derivatives is a plus
  • Thorough understanding of accounting and financial principles as it applies to daily pricing, monthly reconciliation, financial reporting, compliance and tax issues
  • Demonstrate a strong working knowledge of multiple class accounting, and a strong working knowledge of a variety of investment vehicles
  • Clear understanding of internal control procedures, particularly in the areas of impacts to the NAV calculation and financial reporting
  • Strong analytical skills to solve accounting issues of moderate complexity, be proficient in reviewing detailed financial data and show initiative in problem solving and follow up
  • Ability to organize, prioritize work and multi-task projects/fund assignments efficiently and effectively in order to meet deadlines
  • Proficient in the use of computer equipment and software, specifically spreadsheet applications and mutual fund accounting systems
73

Fund Accountant Resume Examples & Samples

  • Review and analyse fund profit and loss accounts on a daily basis and report performance to the Asset Manager
  • Degree level education in a numerate or financial discipline required
  • Highly proficient in Excel and Bloomberg essential, ability in SQL and VBA an advantage
  • Problem Solving - The ability to analyse and challenge conventional thought processes and use experience and/or intuition to create pragmatic solutions
  • Strategic Engagement - Ability to innovate and articulate the future aspirations and think across the business
74

Senior Fund Accountant Resume Examples & Samples

  • Review Financial statements
  • Analyze performance of funds in Excel – advanced skills needs
  • Coordinate year end audits and tax return
  • Work closely across multiple departments and fund managers
  • Policy and procedure development and enforcement
75

Fund Accountant Resume Examples & Samples

  • Assist in preparation of accurate quarterly, semi-annual, and annual financial reports for assigned mutual fund clients
  • Assist with client¿s internal and external auditors on the audit of the funds¿ financial statements, and provide appropriate documentation
  • Assist in the preparation of requested material for client Board of Directors meetings
  • Assist in compliance testing of SEC, IRS, and other compliance requirements
  • Solid analytical and critical thinking skills
  • Ability to maintain a strong client servicing relationship
  • Internship or previous work experience in financial reporting or audit
76

Senior Fund Accountant Resume Examples & Samples

  • Processing daily fund wires and cash reconciliations
  • Month-end closes and financial statement preparation
  • Verification of investor’s management and performance fee calculations
  • Coordination of annual audit
  • Preparation of audit work papers and financial statements
  • Working closely with the Tax team to complete the annual K-1 and tax return review process
  • Regulatory filings including Form PF
  • Interaction with providers, prime brokers and custodial banks
  • Complete internal reporting to IR, Tax, Risk and management
  • Work closely with the operations and technology groups to research and resolve issues
  • Work closely with the investor relations and compliance groups to provide reporting to clients; implement policies, procedures and internal controls
  • Ad hoc reporting
77

Fund Accountant Resume Examples & Samples

  • 3-5 years of related fund accounting experience including at least 2 years in public accounting with a concentration on investment companies(“big-four” / national firm a plus)
  • Bachelor’s degree in Accounting/Finance
  • Ability to work in a fast-paced environment and handle multiple projects
  • Advanced Excel skills including building models to support accounting records and conclusions
  • Strong analytical skills, with a focus on detail and the ability to deliver an organized work-product
  • Good communication skills and the ability to maintain strong working relationships with colleagues, limited partners,
78

Fund Accountant Resume Examples & Samples

  • 2-4 years of experience
  • 2 years working in an Audit Firm specializing in Financial Services
  • In-depth understanding of Hedge Funds and/or Mutual Funds Financial Statements
  • Knowledge of Investment Partnership Tax
79

Fund Accountant Resume Examples & Samples

  • Supervise and mentor other accounting team members
  • Assist in the co-ordination of the annual accounts process
  • Review bookkeeping and identify and input year-end accounting adjustments
  • Ensure reconciliations are completed and any follow up points cleared
  • Preparation of annual financial statements in accordance with IFRS and UK GAAP including consolidated financial statements
  • Review financial statements and working papers prepared by other accounting team members
  • Review the monthly NAV pricing of open-ended products
  • Prepared to travel to attend meetings with clients and service providers as required
  • A professional qualification in Accountancy
  • Recent and relevant Eexperience of financial statement preparation
  • Good working knowledge of current accounting standards and GAAP's
  • Good attention to detail and presentation of information
80

Fund Accountant Resume Examples & Samples

  • Strong numerical ability and high attention to detail
  • Finance/Accounting degree with solid academic results, potentially studying for CPA/CA
  • Experience in Fund Management industry including private equity markets, fund of funds and structured products is preferable
81

Fund Accountant Resume Examples & Samples

  • Booking of capital stock and security transactions, including dividends and corporate actions
  • Cash management of fund accounts ensuring timely trade settlements and minimum idle cash
  • Involved in the pricing process of the funds, including review of daily fund proofs
  • Involved in the daily reconciliation of trading system with portfolio holdings system
  • Prepare monthly fund reconciliations (bank; securities; sub-ledgers and general ledger)
  • Assist the fund reporting group in preparing monthly survey submissions (e.g. IFIC, Globe & Mail, etc.)
  • Minimum 1 year fund accounting experience
  • Prior experience in the pricing process for equities and bonds; sound knowledge of Bloomberg an asset
  • Prior database knowledge an asset
  • Sound knowledge of various investment products
  • Superior spreadsheet skills, preferably Excel
82

Senior Fund Accountant Resume Examples & Samples

  • Previous experience with Financial / Management Reporting, Fixed Income, and Monthly Profit & Loss
  • Prior experience in performing Product Control or Management Reporting at a Hedge Fund or Investment Bank
  • Working knowledge of hedge fund accounting and risk management systems
  • Public Accounting background
83

Fund Accountant Resume Examples & Samples

  • Prepare working papers, journal entries and trial balances
  • Proficient with spreadsheets (Microsoft Excel) and other accounting software
  • Completes tasks with a sense of urgency and is deadline oriented
  • Solid communication and verbal skills
  • CPA (or parts passed) with minimum one year experience, preferred
  • Public accounting, preferably with Big 4
84

Fund Accountant Resume Examples & Samples

  • 2-4 years of business experience
  • 2 years in an audit firm that specializes in Financial Services
  • IN-depth knowledge of Hedge Funds and/or Mutual Funds Financial Statements
  • Knowledge of investment partnership tax
85

Fund Accountant Resume Examples & Samples

  • Execute agreed client changes, fund launches, fund migrations, mergers, liquidations, new share class launches etc
  • Work closely with BAU ensuring a seamless delivery to the BAU teams
  • Communication with Clients, Auditors, Trustees, Custodians and other departments
  • A full accountancy qualification (i.e. CA, ACCA, CIMA) is preferred but not essential
86

Fund Accountant Resume Examples & Samples

  • Production of NAV valuation (daily, weekly, monthly)
  • Reconcile and review trades, positions and cash
  • Prepare full NAV reporting pack
  • Prepare comprehensive audit files
  • Third level graduate (essential)
  • A minimum of two years’ experience in alternative investment funds
  • Full working knowledge of single manager and fund of fund NAV process
  • Strong IT and Excel skills
87

Senior Fund Accountant Resume Examples & Samples

  • 3+ years of prior experience in both public and private equity fund accounting
  • Ability to be flexible within a fast-paced company
  • Prior experience in Real Estate Private Equity
88

Senior Fund Accountant Resume Examples & Samples

  • Account for, and report on, all fund management activity including partner capital statements, distributions, and investor calls
  • Work in a highly matrixed and interdependent environment, communicating with IT, Customer Support, Tax, and Legal to support client relationships
  • A minimum of three years working as a Fund Accountant or a minimum of three years working in a public accounting firm focused on investment management clients
89

Senior Fund Accountant Resume Examples & Samples

  • Fund accounting and unit pricing
  • Day to day investment operations
  • Preparation of distributable income calculations & processing of distributions
  • Business Activity Statements
90

Senior Fund Accountant Resume Examples & Samples

  • Responsible for preparing journal entries for company’s financial, various investments entities funds. This will include accruals (income and interest), amortizations (fees, lease, financing costs) and depreciation
  • Perform bank and cash reconciliations
  • Responsible for the preparation of consolidated financial statements, reconciling intercompany accounts and rollup entities
  • Participate with annual audits and tax compliance
  • Maintain supporting accounting schedules
  • Coordinate with internal management teams to ensure reporting deadlines are met
91

Fund Accountant Resume Examples & Samples

  • Month-end financial statement process (including consolidation accounting)
  • Managing the daily operations of the funds including tasks such as processing wire payments and receipts and reviewing cash reconciliations
  • Reviewing and releasing monthly NAV to investors
  • Reviewing capital calls and fund distributions
  • Calculate and review quarterly IRR
  • Calculate management/incentive fees
  • Coordination of annual tax and audit process
  • Preparation of audited financial statements and audit work papers
  • Reviewing annual tax compliance reporting - K-1s, state and federal tax returns
  • Assisting with tax and regulatory compliance in local and foreign jurisdictions
  • Reviewing internal valuation models provided by portfolio managers
  • Assisting in the due diligence process for new and existing investments
  • Interacting daily with our full service fund administrator, custodian and third party service providers
  • Liaising with investee fund management to obtain monthly reporting and resolve issues as they arise
  • Monthly management reporting
  • Monthly reporting for portfolio managers
  • Liaising with other departments within the firm such as Legal, Compliance, Treasury and Operations
  • Implementing policies, procedures and internal controls and ad hoc reporting
  • CPA or CPA eligibility is strongly desired
92

Fund Accountant Resume Examples & Samples

  • 2+ years of experience Public Accounting or Fund environment
  • Previous experience with Corporate Accounting, Equities, Financial Reporting / Statement Preparation, General Ledger, Month-end Close, and Net Asset Value
  • Microsoft Excel proficient (Pivot Tables, V-Look Ups, Macros)
93

Fund Accountant Resume Examples & Samples

  • Knowledge of Investment Company Accounting, Partnership Accounting and the Investor Capital Allocations process
  • Knowledge of complex fund and Special Purpose Vehicle structures
  • Knowledge of Hedge Fund Investor Capital and Profit & Loss Allocations process, including calculation of complex incentive and management fee rates, hurdle rates, side pocket accounting and profit & loss allocation, etc
  • Mix of Public Accounting (Hedge Fund Auditing) and Private Hedge Fund Accounting experience (with a Hedge Fund or Administrator)
94

Fund Accountant Resume Examples & Samples

  • Duties and Responsibilities Maintain accurate fund accounting records in the Sun and eFront platforms, including bookkeeping
  • Take on responsibility of the invoice and payments process using online banking portals. This includes working closely with the various heads of departments
  • Reconcile bank accounts and portfolios to bank / custodian records periodically, liaising with banking relationship managers where necessary
  • Assisting the Financial Controller in cash forecasting, this includes recommending cash management actions for approval
  • Accounting and monitoring of the Private Equity investment calls and distributions, updating records on eFront and ensuring settlement and confirmations accordingly
  • Experience working in a fund accounting capacity within the asset management industry, preferably with an emphasis on Private Equity
  • Part Qualified Accountant
95

Senior Fund Accountant Resume Examples & Samples

  • 2+ years of Public Accounting and/or Private Industry experience with Hedge Fund / Private Equity clients
  • Previous experience with Credit Derivatives, Derivative Instrument Disclosures,and Fas 157 / ASC 820-10, FAS 161
  • Experience with Financial Statement Preparation, GAAP, General Ledger, Hedge Fund / Investment Partnership Accounting, and Month-end Close
  • Previous experience working with Credit clients
96

Senior Fund Accountant Resume Examples & Samples

  • 4 years of related, hands-on financial services experience
  • Experience with general derivatives
  • MBS
  • CPA, CA or CFO
97

Senior Fund Accountant Resume Examples & Samples

  • Calculate Net Asset Value (NAV) of funds on a daily, weekly and monthly basis and check accrued income and expenses. Provide intra-NAV estimates to the Asset Managers if required
  • Liaise with the fund administrator/s to reconcile final fund NAVs
  • Review foreign exchange exposures and report to the asset managers, highlighting any hedging requirements
  • Provide ad hoc reports to the asset managers regarding performance and historic trading analysis
  • Excellent quantitative analytical and financial modelling skills required
  • Able to work under pressure, prioritise own workload and meet tight deadlines
  • Excellent communication and co-ordination skills
  • Strong team player, but also self-directed and able to take initiative
  • Substantial and relevant experience in fund management required, ideally gained in an investment bank / hedge fund
  • Change Oriented - Demonstrate a flexible mind set by adapting to and helping drive change
  • Communication - The ability to listen and convey messages in a clear, concise and empathetic manner using the appropriate medium
98

Fund Accountant Resume Examples & Samples

  • 2+ years of Public Accounting experience with Financial Services clients
  • Previous experience with Audit (Financial) and GAAP
  • Working knowledge of Geneva
  • Bank Debt background
99

Fund Accountant Resume Examples & Samples

  • Own valuation process for assigned portfolios & review underlying portfolios
  • Verify daily transactions, audits income reports, and resolves exception on assigned accounts according to procedures and within scheduled timeframes
  • Record and respond to partner and client inquiries, providing guidance and resolving exceptions
  • Enter fund details and strike & issue NAVs accurately and within defined timeframes
  • Collect, enter and extract data and undertake analysis as directed
  • Assist in the timely preparation of client reports
  • Hold a third level qualification or be in the process of pursuing a professional accounting qualification
  • Have knowledge of complex accounting and securities processing procedures
  • Have previous experience in fund accounting, with working knowledge of financial instruments and valuations or pricing/reconciliations
  • Have excellent PC skills especially MS Excel
100

Senior Fund Accountant Resume Examples & Samples

  • Accurate and detail-oriented
  • Ability to adapt to change and work in a growing environment
  • Good technical knowledge on calculating Net Asset Value, preparing financial statements
101

Senior Fund Accountant Resume Examples & Samples

  • Production of NAV valuation (daily, weekly, monthly) in respect of relevant clients and signing-off same
  • Assisting in senior management with management of the team
  • Establishing and developing relationships with relevant clients and participating in client meetings and visits as appropriate
  • A minimum of six years' experience in alternative investment funds
  • CPA, CA, ACCA, ACA (desirable)
102

Senior Fund Accountant Resume Examples & Samples

  • Review month-end closing packages and financial statements
  • Clear items from the asset reconciliation
  • Commence portfolio accounting for new funds
  • Prepare portfolio review materials
  • Minimum of 5 years of related experience in asset management/fund accounting
  • Bachelor’s degree in accounting, finance or related field
  • Detail-oriented with strong analysis skills
103

Fund Accountant Resume Examples & Samples

  • Prepare valuations, and statements of cash flows for all funds
  • Plan and execute capital calls and distributions
  • Fully responsible for cash forecasting and expense management for the fund
  • Handle leverage facilities for private equity funds, including tracking loans, making interest payments, preparing compliance packages, and processing paydowns
  • Provide weekly update for the Portfolio team on cash balances
  • Manage audit and tax engagements and address requests
  • Process private transaction closes (funding of new investments)
  • Collect underlying K-1s and provide to tax auditors
  • Manage and service account credit facilities
  • Ad hoc projects as necessary
  • Minimum of 1-3 years of related experience in asset management/fund accounting
104

Fund Accountant Resume Examples & Samples

  • Commence portfolio accounting for new Funds
  • Responsible for cash forecasting and expense management for the fund
  • Handle leverage facilities for private equity funds
  • Review month-end closing packages
  • Review financial statements
  • Weekly update for the Portfolio team on cash balances
  • Manage audit and tax engagements
  • Collect underlying K-1s and provide to Tax auditors
  • Assist with coverage of other funds and projects as needed
  • Bachelor’s degree in accounting/finance/economics or in the related field
  • 1-5 years of related experience in fund accounting
  • Strong analysis and decision-making skills
105

Fund Accountant Resume Examples & Samples

  • Entry level accountant with some exposure to a hedge fund group
  • 2-3 years experience with fund accounting
  • Bachelor's degree in Accounting, Finance or business related
106

Fund Accountant Resume Examples & Samples

  • 3-5 years of Big 4 and Hedge Fund experience
  • Familiar with industry rules and processes
  • Ability to apply analytical and creative problem-solving skills under tight deadlines
  • Ability to prioritize multiple responsibilities in a fast-paced, dynamic work environment
107

Senior Fund Accountant Resume Examples & Samples

  • 4+ years of accounting experience, preferably with a mix of public, hedge fund and financial services accounting
  • CPA or equivalent certification preferred
  • Knowledge of QuickBooks preferred
108

Senior Fund Accountant Resume Examples & Samples

  • Supporting the Private Funds Group in oversight of various hedge and private equity products
  • Finance responsibility for multiple Funds and SMAs
  • Overseeing all aspects of fund accounting performed by third party fund administrators
  • Supporting month and quarter-end close
  • Preparing quarterly Fund Financial Statements
  • Reviewing capital calls and distributions to investors
  • Coordinating with auditors during annual audit
  • Reviewing annual K-1s and tax returns
  • Supporting Deal Team with new investments and projects
  • Preparing and monitoring Fund expenses and vendor payments
  • Preparing and analyzing budgets, forecasts, and run rates
  • Working on ad hoc projects
  • Bachelor's or Master's Degree in Accounting
  • 4-7 years of experience (public accounting or hedge/private equity experience preferred)
  • Excellent attention to detail with a sense of urgency and follow-through
  • Strong ability to prioritize, multi-task and meet tight deadlines
  • Accounting: 5 years
109

Senior Fund Accountant Resume Examples & Samples

  • Ensure complete understanding and adherence to mandate and regulatory requirements for all products
  • Ensure compliance with the organisation's policies and procedures
  • Provide support to the front office investment management processes and liaise effectively with external/internal service providers
  • Contribute in the scoping, designing and developing of efficiencies and improvements
  • Provide support in establishing and achieving the Investment Finance team goals through supporting team members, maintaining and contributing to a positive work environment; ensuring knowledge is shared and committing to personal development
  • Endeavour to develop one's own business knowledge by taking on appropriate training courses to facilitate continuing improvements
110

Fund Accountant Resume Examples & Samples

  • Build a cohesive team spirit within the Fund Accounting team that will foster a clear client service focus, operational efficiency and an error free environment
  • Post-secondary education with an accounting/finance or equivalent
  • Good business acumen
111

Fund Accountant Resume Examples & Samples

  • Prepare journal entries and account reconciliations for the fund
  • Identify and analyze all tax ramifications for fund activities
  • Assist in the preparation for the annual audit
  • Fund financial reporting
  • Ad hoc reporting at the CFO’s request
112

Fund Accountant Resume Examples & Samples

  • Oversee the accounting and reporting for an assigned portfolio of diverse real estate investments, including supervision of the accounting activities of third-party property management firms. Meet high quality review and reporting standards
  • Provide technical guidance on complex accounting issues and training to third-party property management firms. Ensure timely reporting and compliance with established UBS Realty policies and procedures. Ensure accounting in accordance with US GAAP and deal structures
  • Evaluate US GAAP and market value accounting practices to determine impact of new technical literature or applicability of existing literature to property or portfolio accounting and reporting
  • Prepare and analyze quarterly and annual audited financial statements for client portfolios. Liaise with independent auditors. Handle ad hoc reporting requests
  • Participate in the design, implementation, and maintenance of financial information management systems or reports affecting investment accounting functions
  • Represent accounting on acquisition due diligence teams. Lead or support accounting due diligence audits and report findings to the team and the Investment Committee
  • Lead operational audits of third-party management firms, or provide strong support to the audit team. Evaluate internal controls and report findings, including recommendations for improvements
  • Calculate and analyze portfolio performance returns and property internal rates of return
  • Undergraduate or graduate degree with a major in accounting or finance
  • Time management skills and efficient utilization of technology. Proven ability to handle multiple projects and manage conflicting priorities
  • Candidate must be able to work in a team environment
  • Experience with or exposure to real estate investment management is highly valued
113

Fund Accountant Resume Examples & Samples

  • Assist in the preparation of monthly and quarterly accounting and reporting packages
  • Prepare ad hoc reporting requests, management fee analysis, cash flow analysis, and provide assistance with client audit and financial reporting related requests
  • Prepare and book journal entries
  • Prepare period-end close
  • Bachelor’s degree in accounting or finance
  • Strong accounting background, including booking journal entries, performing account reconciliation, and performing account analysis
  • Professional communication skills, and the ability to multitask in a fast-paced environment
  • Ability to prioritize and manage workload such that deadlines are consistently met without exception
  • Experience with debt and equity investments
  • Experience with private equity funds
  • Experience in accounting for foreign currency transactions
  • General ledger experience
114

Fund Accountant Resume Examples & Samples

  • Preparation of journal entries which allocate income/loss from investments
  • Assist manager in resolving problems/issues in a timely manner
  • Experience in general ledger, inter-company reconciliations, and account analyses
115

Fund Accountant Resume Examples & Samples

  • Ensure compliance with revenue recognition policies
  • Ensure all revenue and investment activity is calculated accurately and recorded to the general ledger appropriately
  • Prepare journal entries and wires to facilitate cash movement
  • Ensure compliance with key processes and controls
  • Prepare and issue capital calls and distributions
  • Assist in the collection of appropriate documentation
  • Bachelor’s degree in Accounting and/or Finance
  • Minimum of one year of experience in Accounting or Finance preferred
  • Experience in alternative investments, private equity or partnership accounting a plus
  • Strong Excel, systems and database skills
  • Ability to work successfully in a fast paced, high energy environment
  • Self-motivated and willing to work both independently and in a team environment
  • Excellent customer-service mindset and positive attitude
  • Detail oriented, possess strong communication and multi-tasking skills
116

Senior Fund Accountant Resume Examples & Samples

  • Review investment schemes' financial statements, distributions, BAS, ASIC and tax returns to ensure accuracy, completeness and in compliance with current accounting standards, ASIC lodgments requirements and other relevant tax laws
  • Manage conflicting deadlines, prioritize deliverables and resolve audit, distribution, trading and income tax return review queries effectively with the custodian and key day to day contacts
  • Co-coordinating and timely release of distribution funding requirements and MIT notice to stakeholders
  • Prepare, review and lodge Forms 491, 5111, 388 and 7051 with ASIC on a timely basis
  • Support Client Relationship team with reporting requirements for Funds and Institutional Mandates
  • 2 - 5 Fund Accounting experience and strong tax knowledge on distribution are essential
  • CA or CPA qualified or working toward
  • Understanding the Australian Accounting Standards, IFRS and their applications to the Fund industry
  • Good time management and can manage conflicting deadlines
  • Problem solver and can work autonomously
  • Good understanding of the Fund industry, relevant tax laws on trusts
  • Strong communication skills with either upstream or downstream counterparties
117

Senior Fund Accountant Resume Examples & Samples

  • 3+ years of years of related experience
  • Previous experience with Financial Reporting / Statement Preparation, Month-end Close, Net Asset Value, and Partnership Accounting
  • CPA / CA
  • Public Accounting or Hedge / Private Equity experience
118

Senior Fund Accountant Resume Examples & Samples

  • Central contact point for all issues relating to the fund
  • Calculation of net asset valuations and production of detailed supporting accounting records for a portfolio of complex funds
  • Ensuring all net asset values are accurate and the accountings records are up to date
  • Dealing with investors, promoters, investment advisers and legal representatives on any issues affecting the portfolio of funds
  • Liaising with auditors including preparation of accounts and supporting schedules
  • Using the UBS accounting and shareholder services packages ( Geneva /GP3 and NTAS) and any other relevant system
119

Fund Accountant Resume Examples & Samples

  • 3 years post qualified accounting experience
  • Direct Fund accounting experience
  • Strong understanding of IFRS
  • Solid NAV accounting experience
120

Fund Accountant Resume Examples & Samples

  • This includes preparing monthly, periodic and year-to-date proofs for internal, external and client audit reporting
  • The role is responsible for setup, analysis, and review of joint venture structures, administering partnership allocation schedules, calculating asset and fund level incentive waterfalls and performing underlying asset level accounting
  • Good understanding of hedge fund investment accounting
  • Maintain records in support of audits
  • Complete Monthly Proofs
  • Review monthly accounting reports for accuracy
  • Complete audit packages on an annual, semi-annual and quarterly basis
  • Work as the liaison with the fund groups, clients and external audit firms
  • Research and resolution of exceptions and inquiries related to proofs & audits events
  • Assisting in all aspects of quarterly and annual financial reports -
  • Minimum 3-5 years of related fund accounting experience
  • 2 years in public accounting with a concentration on investment companies a plus
  • A firm understanding of mutual fund accounting, exposure to a broad range of fund structures a plus
  • Support/reporting for income/yield-oriented mutual fund types
  • Solid knowledge of the operational components of Net Asset Value calculation and various asset/security types
  • Understanding of GAAP & Tax rules applicable to US registered funds
  • Detail-oriented, with strong analytical and data management skills (Excel usage, Macros writing, Database queries, etc.)
  • Clear communication skills, both written and verbal
  • CPA desired, but not required
121

Msfs Fund Accountant Resume Examples & Samples

  • Qualified ACCA/CIMA/CA accountant or equivalent
  • In depth knowledge of hedge fund structures and accounting
  • Proven experience of resolving accounting issues relating to complex investment products and market valuation issues
  • In depth knowledge of hedge fund and investor level accounting including the adoption of different structures and performance fee charges
  • Awareness of the changes in the regulatory environment impacting hedge funds in all global jurisdictions and the ability to translate these into changes in service provision for clients and regulatory obligations for the client
  • Proven ability to communicate effectively across cultures and business groups
  • Proven experience of managing a team of professionals ensuring high quality of deliverables and managing client service
  • Track record of managing performance of a team
  • Execute sound judgment on assessing and escalating risk and implementing risk mitigation processes
  • Ability to adapt business models to a growing client base and business offering
  • Advanced knowledge of portfolio accounting systems
  • Advanced knowledge of investor level accounting systems
  • Knowledge of analytics tools and how they work alongside fund accounting systems
122

Fund Accountant Resume Examples & Samples

  • Prepare monthly partner allocations and capital statements
  • Provide audit support and liaise with external auditors to resolve queries
  • Assist with compliance reporting to various regulatory agencies
  • Communicate with management and multiple departments across the firm
123

Fund Accountant Resume Examples & Samples

  • Monitor and analyze fund expenses
  • Maintain regulatory compliance
  • Respond to audit and tax requests
  • Complete month-end close process
  • Prepare fund expenses
  • Prepare information for regulatory filings
  • Assist with the creation of prospectuses
  • Perform IRS and SEC compliance testing
  • Review tax process for accuracy
  • Contribute to the setup of new funds
124

Fund Accountant Resume Examples & Samples

  • A minimum of one year + of fund accounting experience in the mutual fund industry preferred
  • Interpersonal skills necessary to interact effectively with a variety of individuals
  • Demonstrate a strong working knowledge of multiple class accounting, and a strong working knowledge of a variety of investment vehicles that can include, but are not limited to, options, futures, swaps, bonds, and equities for both domestic and foreign investments
  • Strong analytical skills to solve accounting issues of moderate complexity, be proficient in reviewing detailed financial data and show initiative in problem solving and follow-up
125

Senior Fund Accountant Resume Examples & Samples

  • 1-6 years of private equity experience from a fund or from an administrator
  • Hardworking and detail-oriented
  • Comfort and ability to delegate
126

Fund Accountant Resume Examples & Samples

  • A minimum of between two and five years' fund accounting experience
  • A third level qualification or will be pursuing a professional accounting qualification
  • Knowledge of complex accounting and securities processing procedures
  • Have excellent MS Excel skills
  • Own valuation process for assigned portfolios. Review underlying portfolios
  • Enter fund details and strike Net Asset Value (NAV) & Issue NAVs accurately and within defined timeframes
127

Fund Accountant Resume Examples & Samples

  • 3+ years of Public or Private Accounting / Operations experience
  • Knowledge of Private Equity, Hedge Fund and/or Fund of Fund Investing
  • Previous experience with Financial Reporting, Hedge Fund Accounting, and Net Asset Value
  • Investran Accounting System experience
128

Fund Accountant Resume Examples & Samples

  • Preparing and presenting accounts, reports and other ad hoc financial information for specified Funds and related companies in compliance with IFRS, the Partnership Agreements, regulatory requirements and taxation legislation
  • Calculating and paying distributions to the partners, including the GP's priority profit share and supporting allocations information
  • ACA or ACCA qualified with minimum of a Degree level education (or equivalent)
  • Practical experience within Fund Management and some exposure to fund or partnership accounting
  • Advanced Excel skills, with knowledge of Excel macros desirable
129

Senior Fund Accountant Resume Examples & Samples

  • Evaluates and reconciles complex funds including mutual, commingled, and collective for production of client month-end reports or for daily valuation
  • Verifies accuracy of information reviewing reports against performance procedures
  • Assists in the timely preparation of reports and financial statements in accordance with generally accepted accounting principles and performance standards
  • Assists manager in researching new accounting issues and security types, and on other special projects
  • Works with partner groups and assists in the development of new procedures or enhancements to current processes to improve team productivity
  • Have knowledge of complex accounting and securities processing procedures, usually obtained through accounting coursework and related experience
  • Be analytical in order to research and resolve inquiries
  • Have strong organizational skills to provide client reports within scheduled timeframes
  • Have strong written and oral communication skills to disseminate information to team
  • Have strong experience in accounting, financial industry operations or fund valuation
  • Commit to a contract duration
130

Senior Fund Accountant Resume Examples & Samples

  • Identify issues and problems in service delivery and carry out necessary corrective action. Keeping team and AVP informed of issue
  • Review corporate documentation on processes, procedures and controls and evaluate the continuing effectiveness of these and related systems, initiating remedial action as necessary
  • Set and maintain standards of personal and professional performance/behaviour; ensuring staff accountability and adherence to company policies and procedures
  • Establish and maintain good working relationships with clients, third parties and colleagues
  • Provide coaching, guidance and support to staff on technical, professional and client issues
131

Senior Fund Accountant Resume Examples & Samples

  • Securities industry knowledge
  • Qualification in Finance or Accounting
  • Accounting designation(s) are recommended (i.e. CGA, CMA, CA etc)
  • Other industry related courses or accreditations are also recommended: Canadian Securities course (CSC) or mutual funds course (IFIC)
  • Computer Skills: Proficient in Microsoft Excel, and Word
  • Flexible with work hours and location
  • Overtime may be required from time to time
  • Be able to help manager in addressing client queries, resolve issues
  • Change management
  • Knowledge of MPower an asset
  • Good understanding of Custodial operations
132

Fund Accountant Resume Examples & Samples

  • Production, control and analysis of daily trading p/ls
  • Price verification of trading positions across asset classes
  • Close liaison with Fund Administrators to ensure speedy issue resolution for daily NAV
  • Review of daily and monthly NAVs
  • Reconciliation of internal books and records to Fund Administrators
  • Oversight and review of key reconciliations performed by Fund Administrators
  • Assist with ad-hoc queries from senior management, traders, fund administrators, other control functions, investors, etc
  • Project-based work to assist with process and product development
  • Strong knowledge of UK & IFRS accounting (UK GAAP & IFRS) for a wide range of financial instruments
  • Must be educated to Degree level
  • Qualified/part qualified ACA/ACCA accountant (or equivalent)
  • Flexible and proactive approach
  • Self-motivated with a diligent and detailed approach to completing tasks
  • Experience of coaching others and reviewing work of fund accountants
  • Confidence to communicate effectively with a variety of internal and external parties
  • Good experience of fund accounting for a wide range of financial instruments
  • Supervisory experience is desirable
133

Senior Fund Accountant Resume Examples & Samples

  • Perform core daily / weekly / monthly processes to ensure the accounting records are accurate and up-to-date
  • Development and documentation of processes and procedures
  • Liaise with key stakeholders within Investment Services and Fund Accounting and other teams and departments in the company
134

Fund Accountant Resume Examples & Samples

  • Reviewing monthly trial balances
  • Oversight of monthly valuation process
  • Assisting in the control process
  • Monthly oversight of the contributions and benefits process
135

Fund Accountant Resume Examples & Samples

  • Management accounting and financial reporting responsibility for a range of property funds, this will involve accounting for all financial transactions required to prepare monthly/quarterly fund valuations
  • Daily valuation of property funds
  • Client reporting; liaising with external lawyers, auditors, Business Partners and dealing with Investor requests
  • Extensive liaison with asset management and other stakeholders
  • Preparing quarterly reconciliations of balance sheet accounts
  • Supervising cash management
136

Fund Accountant Resume Examples & Samples

  • Review property level financials
  • Prepare joint venture/fund level journal entries including fair value entries
  • Prepare joint venture/fund level quarterly financials
  • Develop basic understanding of governing joint venture/fund agreements
  • Perform internal audit functions
  • Prepare capital call notices and distributions
  • Perform cash management
  • Assist with quarterly investor package
  • Assist with annual audits and tax preparation
  • Work on special projects as requested by co-investment dept and/or investors
  • Degree in Accounting, Masters a plus
  • Three to Five years of experience working with real estate private equity funds and or private equity funds
  • Any experience preparing financial reporting for real estate investments, a plus
  • A good working knowledge of fund structures utilizing private REITs, corporate blocker and/or master feeder structures
137

Senior Fund Accountant Resume Examples & Samples

  • Prepare GAAP financial statements
  • Prepare investor reporting and fund returns
  • Work with auditors and tax preparers and review their work where applicable
  • Other responsibilities supporting trading, marketing and investor relations as needed
  • Bachelor’s degree in Finance/Accounting preferred
  • Minimum of three years’ Big 4 accounting experience
  • Ability to learn the securities industry and apply related accounting concepts
  • Ability to think and act independently
138

Senior Fund Accountant Resume Examples & Samples

  • Main point of contact for all issues relating to the fund
  • Using the in house accounting and shareholder services packages ( Geneva /GP3 and NTAS) and any other relevant system
  • Adhering to all internal controls at all times and escalate any issues properly
  • Calculating and verification of quarterly/ Semi-annual/ Annual Distribution figures
139

Fund Accountant Resume Examples & Samples

  • 3-6 years of work experience
  • Strong knowledge of investment company accounting, partnership accounting and the investor capital allocations process
  • Knowledge of hedge fund investor capital and profit & loss allocations process, including calculation of complex incentive and management fee rates, hurdle rates, side pocket accounting and profit & loss allocation, etc
  • Ability to manage projects, be a team player, multitask, and appropriately prioritize work as necessary
  • Positive attitude and ability to work accurately under pressure
  • Mix of public accounting experience and private hedge fund accounting experience
140

Senior Fund Accountant Resume Examples & Samples

  • Provide support for the Accounting and Finance Team assisting with NAV reporting, year-end financial-tax reporting, and legal/compliance filings
  • Coordinate and help manage the review of the quarterly NAV reporting packages for our 120+ private equity partnerships while adhering to stated deadlines
  • Responsible for the reconciliation of accounts, client partner data (for K-1 tax reporting purposes), and following up internally and with the fund administrator to ensure all discrepancies are resolved
  • Assist with the processing of investment activity including capital call payments
  • Assisting with the partnership accounting within the Firm’s private equity software (e-Front) and reconciling our capital activity data with our fund administrator’s data
  • Organizing, preparing, and distributing communications to the internal client service teams and client senior management
  • Monitoring the status of the external auditors’ and tax team’s request lists, in conjunction with the fund administrator, in order to continuously maintain progression and complete both annual engagements
  • Responsible for performing quality control procedures over K-1s, prepared by our external tax team, prior to distributing the K-1s to our clients
  • Assist Management in developing new internal processes and workflows to facilitate a more formalized approach to the Firm’s fund administration function
  • Update job knowledge by participating in educational opportunities; reading professional publications; maintaining personal networks; participating in professional organizations
141

Fund Accountant Resume Examples & Samples

  • To produce UT, OEIC, and CIF interim and final report and accounts, including sign-off of distribution rates and proofing of SORP accounts to the required standard
  • Communicate professionally & effectively with other Departments, ensuring that they are more than satisfied at all times
  • Continually assess processes to improve efficiency, reduce risk or cost, as well as to increase job satisfaction
  • Proven knowledge and experience in a financial services environment including Unit Trust, NAV calculations, OEICs and/or Investment Trusts' report & accounts production
  • Able to work under pressure to achieve the timetabled deadlines for delivery to our clients
142

Fund Accountant Resume Examples & Samples

  • Apply proper accounting treatment for various investments
  • Obtain portfolio valuations compliant with fund specific pricing policy
  • Review source documentation /accounting reports to trial balance for accuracy
  • Reconcile cash and security positions to numerous custodians and prime brokers
  • Ability to perform effectively in a daily deadline driven environment
  • Internship or previous work experience in financial services industry
143

Fund Accountant Resume Examples & Samples

  • 5-10 years of experience within Hedge Funds
  • Experience with prime brokerage reconciliations, monthly closes, preparing and posting journal entries
  • Strong derivative product knowledge
  • Strong critical thinking skills
  • Exceptional communication and interpersonal skills
  • Demonstrates analytical, technical, organizational, and independent problem-solving skills
  • Ability to work in a fast-paced team setting, as well as independently
  • Knowledge of Geneva
144

Fund Accountant Resume Examples & Samples

  • Ensure valuations are calculated correctly
  • Meet all valuation deadlines
  • Ensure all cash and holdings are completed
  • Follow procedure and timetables at all times
  • Prepare fee schedule
  • Liaise with investment managers
  • Complete statutory returns
145

Fund Accountant Resume Examples & Samples

  • Perform the day-to-day operations in administration of fund dealing activities in relation to subscriptions, redemptions, switching and transfer for wholesale & institutional clients, including order processing, account opening / maintenance
  • Liaise and provide proactive support to all relevant internal and external parties (e.g. product development, sales & marketing, distributors, transfer agents, fund custodians etc) regarding mutual fund administration and processing matters
  • Prepare monthly holdings reports to clients
  • Monitoring of daily NAV fluctuation
  • Strong attention to detail and accuracy; able to meet tight deadlines
  • Proactive and client focused working style
  • Able to multi task and manage work priorities in a pro-active and flexible manner
  • Good communication and interpersonal skills; Display Initiative
  • Possess a high level of integrity, self-motivation, drive and commitment with a passion for driving solutions to meet challenging objectives
146

Fund Accountant Resume Examples & Samples

  • Review outputs from fund administrators
  • Assist with preparation of fund statutory reporting
  • Oversight of fund tax compliance
  • Assist with preparation of quarterly reporting
  • AIFMD regulatory reporting
  • Oversight of budgeting and forecasting process
  • Assist with fund risk management and internal control
  • Ad hoc assistance with fundraising, asset acquisitions etc
  • Newly qualified accountant, CIMA, ACA, ACCA
  • Strong group consolidation/IFRS exposure
  • Ability to deliver under pressure to tight deadlines
  • High standard of written English
  • Highly organised and rigorous
  • Eager to learn, flexible
147

Senior Fund Accountant Resume Examples & Samples

  • 1-3 years of Hedge Fund Operations, Fund Administration, Middle Office Operations or similar experience
  • Familiar with equity and credit derivatives, futures, options, repo, and equity finance
  • Strong problem-solving, analytical and organizational skills
  • Familiarity with IceLink, DTCC & TriOptima
148

Fund Accountant Resume Examples & Samples

  • Ensure all daily, weekly and monthly processes are completed in line with procedures and output is reviewed accuracy
  • Review of daily NAV information for the offshore product range
  • Participate with peers in enhancing current processes and implementing procedural improvements to reduce risks and improve efficiency
  • Act as a back-up for colleagues when required
  • Ensure that all tools, checklists, procedures are maintained for all processes
  • Assist the department in the successful completion of all fund audits ensuring all audit queries are dealt with timely
  • Supervise and participate in Reconciliation process
149

Fund Accountant Resume Examples & Samples

  • 4+ years of related accounting experience
  • Experience in public accounting covering alternative asset managers and qualified CPA or experience in a finance function
  • Hedge Fund / Fund of Funds direct work experience in a control function
150

Fund Accountant Resume Examples & Samples

  • 3-5 years of hedge fund, audit, or administrator experience
  • Knowledge of hedge fund / fund of fund investing
  • Ability to maintain professional and positive attitude while meeting tight deadlines in fast paced environment
  • Bachelor's Degree in Accounting or equivalent
151

Fund Accountant Resume Examples & Samples

  • Close general ledgers and prepare financial statements
  • Maintain schedules for tracking of contributions, distributions and debt compliance
  • Allocate costs and code payments for valuations, audit, tax and other invoices
  • Analyze and track contributions, distributions and cash
  • Prepare schedules for property debt walks and debt summaries
  • Assist in preparation of expense and debt budgets
  • Assist in preparation of quarterly and annual tax packs and audit work papers
  • Assist in REIT compliance
  • Participate on special projects (as needed)
  • Minimum of two years of experience
  • CPA candidate preferred
  • Experience with real estate fund accounting or partnership structures preferred
  • Proficient in Microsoft Office applications (i.e. Word, Excel, Outlook, etc.)
  • Knowledge of Yardi a plus
  • Excellent organizational and analytical skills
152

Senior Fund Accountant Resume Examples & Samples

  • Completion of Fund Valuations/Valuation Oversight reviews in accordance with agreed deadlines and frequencies
  • Execute on a process of continuous improvement that assesses workflow, processes and procedures on an ongoing basis, ensuring maximum efficiency and quality within the Fund Accounting Group
  • Continuously identify opportunities to enhance our service and value proposition for our clients
  • Adhere to comprehensive operating procedures that ensure the accuracy, timeliness and completeness of all processes
  • 2-3 years financial services industry experience in an operations environment
  • Some Industry experience in the Fund Accounting function
153

Senior Fund Accountant Resume Examples & Samples

  • Complete / review accurately quarterly and annual control checklists
  • Collaborate with COE centres (Trade Processing, Reconciliations, Pricing teams)
  • Ensure accurate completion of additional services as per agreement (OM, ICSA, SLA…)
  • Ensure accuracy of fund financial statements drafted by financial reporting
  • Play a key role in developing the Microfinance business
  • Ensure compliance with budget in performing client services and report all special client services to supervisor
154

Fund Accountant Resume Examples & Samples

  • Assist in the production of daily, weekly, monthly NAV ensuring all Navs are accurate and the accounting records are up to date
  • Calculation of NAVs and production of detailed supporting accounting records for a portfolio of complex funds
  • Dealing with investors, promoters, investment advisors and legal representatives daily on any issues affecting the portfolio of funds
  • Maintaining the shareholder register to ensure all subscriptions, redemptions, and transfer requests have been dealt with correctly
  • Issuing contract notes and monthly statements to investors and monitoring the funds bank accounts to ensure correct payments and receipts have been made
  • Ensuring all performance fee and equalisation records are kept up to date
  • Using the company's accounting and shareholder services packages and any other relevant system
  • Complying with all company internal controls at all times and escalate any issues properly
  • Attend and participate in team meetings
  • Ensuring internal and external deadlines are met and tasks are performed accurately and in a timely and efficient manner
  • Performing any such additional projects and duties which may be assigned to you from time to time
  • At least one year's experience working in a similar fund administration company or accounting role
  • Degree qualification in an appropriate discipline. (Accounting or Finance is preferred)
  • Strong administration and organisational skills
  • Act as a role model for the company with the ability to provide training to new members of the team
  • Strong IT skills and computer literate
  • Strong numerical and analytical skills with attention to detail
  • Proficiency in accounting
  • Pro-active with good Ability to multi-task, and work as part of a team as well as on own initiative
  • Ability to work well under pressure with ability to identify when escalation is required
155

Fund Accountant Resume Examples & Samples

  • Understanding of funds management industry with a focus on property funds and finance and of AMP Capital Investors product and service offerings
  • Working knowledge of Statutory Accounts
  • Ability to operate autonomously and work to tight deadlines
156

Fund Accountant Resume Examples & Samples

  • Bachelors degree in accounting or a related field is required
  • Minimum of 5 years of experience of real estate fund accounting
  • Able to think analytically while simultaneously being able to multitask and maintain organization
  • Previous experience using Invest ran is preferred
157

Senior Fund Accountant Resume Examples & Samples

  • Responsible for pricing securities in the portfolio in accordance with agreed pricing conventions, where applicable
  • Responsible for Data Collection, Trade Input and reconciliation of cash and assets with the funds brokers
  • Responsible for Processing Capital Stock Activity and for Fee and Expense Processing
  • Responsible for review of the more straight forward NAV calculations within the team
  • Collect/pay all fund related fees in a timely manner
  • Responsible for the follow up and resolution of any issues/queries identified
158

Senior Fund Accountant Resume Examples & Samples

  • Monitor Investment Committee decisions
  • Work across the finance team to ensure investments are regularly reviewed, correctly accounted for and steps are taken to address any issues
  • Developing models to provide forward looking analysis for fund/carry distributions
  • Maintaining relevant accounting books and records for the portfolio assets, fund partnerships and related companies
159

Fund Accountant Resume Examples & Samples

  • Operational oversight responsibility for the UK domiciled fund ranges. Responsible for the review, analysis and control of the trial balance, fund financial statements, fund distributions, tax & regulatory returns, NAV calculations and price delivery for the range of UK Funds
  • Resolving accounting and valuation related issues, and any errors arising in respect thereof; Developing controls, policies and procedures related to financial reporting, NAV calculations and fund administration; and Monitor and review service level metrics and KPIs, escalating negative trends or issues
  • Liaise with UBS AM internal functions including wholesale and institutional distribution, operations, product development, legal, compliance, investment teams, and marketing. As well as, external counterparties e.g. Depositary/Trustee, Auditors and Tax Advisors as appropriate on the periodic work performed on the funds and any issues arising on a day to day basis
  • Perform service provider quality monitoring, performance against SLA, and annual on-site due diligence of any external service providers
  • Providing technical expertise to support Product Development group in respect of new fund or product launches
160

Fund Accountant Resume Examples & Samples

  • Assist with the preparation of Net Asset Value calculations, financial statements and associated reports along the dealing with any associated queries
  • Process payments of fund expenses in applicable banking system in accordance with organisation controls
  • Assist in the training and review of trainee fund accountant work
  • Respond to client queries in a timely and efficient manner
  • Reconcile the cash balances, portfolios and other data of funds as required
161

Senior Fund Accountant Resume Examples & Samples

  • To ensure timely and accurate NAV calculation on a weekly or monthly basis
  • Processing of security and cash transactions for portfolios
  • Responding to client enquiries in a timely and efficient manner
  • 3-4 years experience in a similar role incorporating the above functions
  • An ability to work to and meet agreed deadlines
  • An accountancy qualification would be an advantage
  • Excellent interpersonal and written communications skills
  • Strong PC skills including Word, Excel and Access (Experience on Paxus an advantage)
162

Fund Accountant Resume Examples & Samples

  • Perform cash, position and market value reconciliations between brokers and clients
  • Identify and investigate break items on reconciliations in a timely manner
  • Escalate fund accounting issues and aged items to the Fund Accounting Supervisor
  • Ensure all positions are priced correctly
  • Verify corporate actions to ensure accurate processing
  • Calculate and process income and expense accruals including fee calculations and trading accruals
  • Assist in the audit process if required
  • Converse and liaise with internal service departments to resolve miscellaneous fund issues
163

Senior Fund Accountant Resume Examples & Samples

  • CPA-highly desired
  • Investment industry experience
  • Exceptional communicator
164

Fund Accountant Resume Examples & Samples

  • Review monthly and quarterly NAV's (under IFRS/GAAP) and unit pricing of the funds calculated by the fund administrators and liaise with the portfolio managers for sign-offs
  • Monthly review of all management accounts prepared for the funds by the fund administrator
  • Assisting with the compilation, preparation, and review of various periodical financial reports analysing the fund's financial performance, such as investor reporting, IPD performance reporting and fund models
  • Coordination of the annual and interim audits required for the funds, communications with the fund administrators to answer external auditors questions
  • Coordination and review of the quarterly VAT and annual tax filings for the legal entities with the fund administrators and tax advisors
  • Monitoring of cash activities within the funds, including managing use of credit and loan facilities, calculation and review of capital calls and distributions to the investors and preparation of cash flow forecasting
  • Review of bank loan covenant calculation
  • Participate in weekly and quarterly calls to provide updates and monitor performance of fund administrators
  • Provide updates on significant events and answer ad-hoc queries to the depositaries of the funds
  • Assist in the answering of operational related ad-hoc investor questions
  • Maintenance of accounting/reporting policies and procedures
  • Assist in preparation of papers required for board and investment management committee meetings
  • Review of management and performance fee calculations
  • Fund accounting experience gained within the real estate industry
  • Good level of Excel proficiency
  • Numerate with good attention to detail
  • Flexible and able to work under own initiative
165

Fund Accountant Resume Examples & Samples

  • Solid Real Estate background (Commercial and Residential)
  • Previous experience with Financial Statement Preparation, Investment Partnership Accounting, and Month-end Close
  • Familiarity with Partnership Tax returns
166

Fund Accountant Resume Examples & Samples

  • Understanding of the hedge funds under administration (legal structure, investment objective, fee structure, liquidity provisions, etc.)
  • Ensuring proper valuation and supporting documentation of portfolio investments, including derivatives
  • Monthly reconciliation of investment positions and market values
  • Post journal entries to the general ledger in accordance with GAAP
  • Perform month-end closing procedures/financial statement preparation
  • Calculate and prepare capital call and distribution notices
  • Submit reports in a timely manner in accordance with department and investor deadlines
  • Respond to margin calls and ensure that the call amounts are correct
  • Prepare and update consolidated financial statements on a quarterly basis
  • Work as a liaison with auditor and tax professionals
  • Assist with ad hoc reports and special assignments when needed
167

Fund Accountant Resume Examples & Samples

  • Bachelor's Degree in accounting, finance, or business administration
  • 2-3 years of accounting experience
  • Proficiency with Microsoft Office 2007
  • Comfortable handling a high volume of work
  • Investment or real estate experience
  • CPA or public accounting experience
  • Familiarity with partnership tax returns
168

Fund Accountant Resume Examples & Samples

  • Monthly accounting close process which includes the preparation of journal entries and accruals. Execute the close process for multiple companies
  • Coordinating requests from Auditors
  • Various process improvement projects
  • Tracking, billing, and reporting of corporate accounts receivable and payable, includes intercompany and reimbursable expenses
  • GL reconciliation
  • Maintain interest calculations for loans to portfolio companies
  • Bachelor's degree in Accounting or Finance with a minimum of two years experience
  • Auditing experience is a plus
169

Fund Accountant Resume Examples & Samples

  • The successful candidate shall work as part of a fund accounting team and shall be responsible for completing daily tasks as assigned by the Team Leader to the highest standards
  • Main Duties and Responsibilities
  • Data Collection, Trade Input (if applicable) and reconciliation of cash and assets with the funds brokers
  • Processing Capital Stock Activity and for Fee and Expense Processing
  • Compiling a NAV pack for Team Leader review when all tasks have been completed
  • Assisting and training the FA in all of the above areas
  • Following up and resolving any issues associated with these tasks
  • Preparation of Auditor information requirements (including timely response to queries)
  • Collecting and paying all fund related fees in a timely manner
  • Working on various projects assigned and liaising with the TL in meeting deadlines in a timely manner
  • Participate in the daily team meeting and shall be responsible for advising the Team Leader of any issues that are affecting their work such as report delays, system problems etc
  • Prepare external and other statutory reports (Central Bank etc)
  • Be proactive in sharing information with other team members and assisting the FA when necessary
  • The Fund Accountant as such is responsible for communicating with all internal and external resources in a professional and respectful manner
  • Ideally, the candidate should have 1 year experience within a fund accounting role
  • Knowledge of varying fund types essential
  • Third level business qualification desirable
  • Enjoy working with numbers and analysing data
  • Organised and methodical in their approach to work with an eye for detail
  • Good interpersonal and communication skills
  • Team player who will participate and contribute in team meetings
  • Must be a self-starter, enthusiastic, flexible and motivated to learn and develop as the department evolves
  • Ability to work under their own initiative
170

Senior Fund Accountant Resume Examples & Samples

  • 3-6 years of accounting experience in the private sector
  • Strong timer management skills
  • Experience with bank loans (term loans and revolvers) and bonds
  • Knowledge of Investran
171

Fund Accountant Resume Examples & Samples

  • 3-4 years of related experience
  • 2-3 years of public accounting experience
  • 1-2 years of accounting and/or operations experience at a hedge fund
  • Bachelor's Degree in accounting from a leading university with a strong academic record
  • CPA License (or in process)
  • Superior problem-solving abilities
  • Familiarity with a wide range of investment products, including; equities, options, equity swaps, and foreign currency contracts
172

Fund Accountant Resume Examples & Samples

  • Significant PQE in industry either as in house senior fund accountant, or at administrator within a private equity or real estate company
  • Ideally understand valuation impact and NAV production, ability to evaluate &understand period to period differences, understanding of accounting impact,understanding of fair value pricing, understanding of valuation on PE, experience ofan on-going valuation process including interaction with auditors)
  • Experience of PE/RE would be ideal, but experience of illiquid assets is imperative(where the valuation involves more than getting market prices from Bloomberg - i.e.some level of subjectivity)
  • Experience of different fund domiciles (Guernsey, Delaware, On shore, Lux,Cayman)
  • Relevant experience of listed vehicle structures would be preferred but notmandatory
173

Fund Accountant Resume Examples & Samples

  • Minimum Bachelor's degree, major in Business Administration or Accounting
  • Minimum GPA of 3.00
  • Having at least 3 years experience in custody/financial institution/public accountant firm
  • Good attitude, active, dynamic, hard working, analytical and highly motivated
174

Fund Accountant Resume Examples & Samples

  • A first experience in accounting preferably within the financial services industry
  • Knowledge of the accounting treatment of a wide variety of financial products experience in valuation methods & accounting of PE/RE is required
  • Good knowledge of accounting standards (Luxembourg GAAP), IFRS will be an advantage
  • Exposure to the technical aspects of funds and companies is important
  • Familiarity with a bookkeeping system (experience on Investran is an asset) will be an asset
  • Excellent English communication skills, both written and spoken ( French is an asset )
  • Able to work as part of a team as well as independently
  • Client oriented attitude
  • Expertise in MS Excel
175

Fund Accountant Resume Examples & Samples

  • 1-3 years of related accounting experience
  • CPA (one part)
  • Exceptional financial reporting abilities
176

Senior Fund Accountant Resume Examples & Samples

  • Pricing securities in the portfolio in accordance with agreed pricing conventions, where applicable
  • Assisting the Team Leader with more complex and ad hoc tasks & reviews on NAV calculations
  • Review of the more straight forward NAV calculations within the team
  • Preparation of Fee calculations and invoicing
  • Ensuring effective communication with the TL regarding escalation of issues or potential issues
177

Fund Accountant Resume Examples & Samples

  • Significant real estate or private equity experience in industry either as in house senior fund accountant, or at administrator
  • Ideally understand valuation impact and NAV production, ability to evaluate & understand period to period differences, understanding of accounting impact, understanding of fair value pricing, understanding of valuation on PE, experience of an on-going valuation process including interaction with auditors)
  • Experience of PE/RE would be ideal, but experience of illiquid assets is fine
  • Experience of different fund domiciles (Guernsey, Delaware, On shore, Lux, Cayman)
  • Relevant experience of listed vehicle structures would be preferred but not
  • Mandatory
  • Good technical accounting knowledge of applicable GAAP/IFRS
178

Fund Accountant Resume Examples & Samples

  • Review quarterly financial statements from partnership investments to determine valuations of investments pursuant to ASC 820 (fair value measurements)
  • Work with various contacts at different investment groups to gather information
  • Prepare the annual audit report and quarterly financial statements
  • Complete client requests and special projects as needed, also working with various members of the investment and client services teams to provide necessary reports
  • Participate in cash reconciliations
  • Bachelor’s Degree in Accounting or Finance, required
  • Degree from a 4 year accredited university, good GPA, required
  • At least 1.5 years of experience, required
  • Public accounting experience, STRONGLY preferred
  • CPA or MBA, preferred
  • Bright, eager to learn
179

Senior Fund Accountant Resume Examples & Samples

  • Prepare and review quarterly financial statements and footnote disclosures
  • Ad hoc management reporting requests, monthly management fee analysis, cash flow analysis, and audit assistance
  • Supervise and review the work of Analysts and Senior Analysts
  • Prepare distribution analysis; override/promote analysis, implementation of new accounting guidance, and lender reporting
  • General ledger postings including cash fundings to investments, cash distributions from investments, currency purchases/exchanges, swap settlings, debt payments, fund expenses, and investor distributions
  • Quarterly: valuation analysis, mark to market of investments and foreign currency positions, interest accruals on debt investments, P&L forecasting, and fed reporting
  • Bachelor’s degree Accounting or Finance
  • Minimum of two years accounting experience, Big 4 preferred
  • Strong organization and communication skills
  • Public Accounting experience
  • Private equity fund accounting
  • Partnership accounting experience
  • Investran experience
  • Experience with hedge transactions
  • Experience with international investments
  • Experience with debt investments
180

Fund Accountant Resume Examples & Samples

  • Working with joint venture partners and property management companies to review and produce investment financial statements
  • Prepare investment cash flow analyses for portfolio management
  • Assist with annual budgeting and forecasting process of fund level activities
  • Prepare supporting schedules and reconciliation of balance sheet and income statement accounts
  • Must have an accounting degree with a GPA of 3.0 or above
  • Minimum of 1 - 3 years out of public accounting, real estate investment accounting or fund accounting experience
  • CPA or working towards
181

Senior Fund Accountant Resume Examples & Samples

  • Prepare month end net asset valuation packages
  • Perform investor allocations
  • Preform filings for the different clients when needed
  • Prepare year-end Financial Statements
  • Assist with the accounting responsibilities related to new fund launches
  • Bachelor’s Degree in an Accounting
  • Will take 1 to 7 years of public accounting experience (tax or audit even)
182

Fund Accountant Resume Examples & Samples

  • Prepare fund valuation, accounting, financial statements and reports
  • Prepare Net Asset Valuation calculations (NAV)
  • Prepare financial statements and other financial related reports
  • Maintain books and accounts of the funds
  • File records of correspondences and processed instructions for audit purposes
  • Participate in system testing and assist in New Fund setup
  • Communicate to internal and external parties (broker, custody, fund administrator, etc.) to solve any issues on time
  • Prepare daily trade instructions/ cash instructions to custody and fund administrator
  • Daily reconciliation of cash, holding and official valuation reports
  • Fee calculation and verification
  • Ad hoc projects by Senior Staff
183

Fund Accountant Resume Examples & Samples

  • 2+ years of Accounting experience in the Private Sector
  • Private equity experience in Non-Equity Funds
  • Experience with Bank Loans (term loans and revolvers) and Bonds
184

Senior Fund Accountant Resume Examples & Samples

  • At least 3 years fund industry knowledge, including knowledge of Hedge funds, including at least 2 or years experience within a valuations department
  • Must have a working knowledge of a wide variety of fund types and financial instruments
  • The holder should display a high level of communication skills with an ability to quickly adapt to a close team-working ethic
  • An ability to communicate effectively with all staff internally and with clients, demonstrating a focus on customer service
  • Be a role model to other team members
  • A willingness to take ownership of problems and resolve
  • Display a keen sense of attention to detail
  • Highly organised and effective
  • Be client focused in understanding their needs and requirements
  • Must be able to do overtime if required
  • PC skills
  • Accounting skills and knowledge, specifically for investment instruments
  • Hands-on department training
  • In-house systems software skills
  • Cross training within other teams in Fund Services
  • Training as directed by your Supervisor or Manager
185

Fund Accountant Resume Examples & Samples

  • Performing effectively all general ledger activities, unit pricing, management reporting, distribution, statutory reporting and compliance processes for the Fund; and in accordance with the relevant regulatory requirements
  • Being part of a high performing team which consistently delivers against both the Investment Finance (IF) objectives as well as the wider AMPCI corporate objectives
  • Exposure to Public Private Partnership (PPP) or Service Concession Accounting (IFRIC 12) would be an advantage
  • Good knowledge of securities both domestically and internationally
  • Bachelors in commerce, business or finance. CA/CPA qualified with 2 years or more experience in Fund Accounting or Chartered Firm
186

Senior Fund Accountant Resume Examples & Samples

  • Distribute prices to relevant parties i.e. Financial Times, Investment Managers and Investor Services in accordance with distribution checklist
  • Administration of queries from other departments and external parties including Investment Advisor, Custodian/Prime Broker and Auditors
  • Produce accurate and timely internal reporting for the department
  • Partake in continuous improvement initiatives for the department
  • Produce accurate fund valuations within set deadlines following documented procedures under current operating model. Completion of liquidated funds in a timely manner
  • Be aware of the Operational Risk scenario associated with your role and act in a manner that takes account of operational risk considerations
187

Fund Accountant Resume Examples & Samples

  • 2-5 years of accounting experience
  • Prior exposure to Funds
  • Experience with Domestic Equities
188

Fund Accountant Resume Examples & Samples

  • Responsible for data collection and trade input
  • Responsible for reconciliation of cash and assets with the funds' brokers
  • Responsible for processing Capital Stock Activity
  • Interact effectively with all internal and external third parties: E.g. CIL's Trade processing/matching/settlement dept., Transfer Agent, Pricing Dept., CACEIS Trustees
  • Ensure compliance of funds with the fund documentation (including Prospectus, Admin. agreement and Operating Memorandum)
  • Responsible for fee and expense processing
  • Responsible for pricing securities in the portfolio in accordance with agreed pricing conventions
  • Responsible for compiling a NAV pack for Team Leader review when all tasks have been completed
  • Responsible for maintaining the portfolio for the fund on Bloomberg to monitor prices and corporate actions, if applicable
  • Responsible for the follow-up and resolution of any issues associated with these tasks
  • Involved with the preparation of auditor information requests (including timely response to queries)
  • Calculate fees to be charged to the funds and prepare invoices
  • Work on various projects assigned
  • Work with the Team Leader in meeting deadlines in a timely manner
  • Participate in team meeting and be responsible for advising the Team Leader of any issues that are affecting their work such as report delays, system problems etc
  • To be proactive in sharing information with other team members and assisting others when necessary
  • The Fund Accountant is a representative of CIL and, as such, is responsible for communicating with all internal and external resources in a professional and respectful manner
  • Ideally, the candidate should have a year's experience within a similar role
  • Knowledge of varying fund types desirable
  • To enjoy working with numbers and analysing data
  • To be organised and methodical in their approach to work with an eye for detail
  • To be a self starter, enthusiastic, flexible and motivated to learn and develop as the department evolves
  • To be able to work under their own initiative
189

Fund Accountant Resume Examples & Samples

  • 3+ years of experience at a Public Accounting firm in their Investment Services Business
  • Previous experience with Hedge Fund / Partnership Accounting, Month-end Close, and Revenue Recognition
  • Experience with Hedge Fund or Private Equity clients
  • Experience in Controls, Audits and working with Administrators / Service Providers
190

Senior Fund Accountant Resume Examples & Samples

  • 1+ year of working experience
  • Solid Audit background (Financial and Operational)
  • Experience with Month-end Close and Net Asset Value
191

Senior Fund Accountant Resume Examples & Samples

  • Reconcile the cash balances, portfolios and other data of our funds as required, documenting any differences clearly for review by senior colleagues
  • Accurately process transactions in our accounting system as required, understanding their impact on the NAV of the fund
  • Price portfolio securities in accordance with applicable valuation policy as required
  • Calculation and processing of any NAV based fees as required
  • Ensuring capital transactions are booked correctly and P&L is allocated correctly at fund, class and investor level
  • Process payment of fund expenses in applicable banking system in accordance with organization controls
  • Maintain fund's budget, ensuring it replicates system entries and information provided;  Adhere to deadlines set in order for us to meet Service Level Agreements
  • Assist with the preparation of Net Asset Value calculations, financial statements and associated reports along with dealing with any associated queries
  • Prepare schedules, reports and files for review by senior colleagues in compliance with organisation controls
  • Assist in the training and review of fund accountant work 
  • Assist in the co-ordination of resources to ensure all work is carried out and SLA met on a day to day basis
  • Any other ad-hoc tasks, as required
  • Performed a similar role
  • Have worked with Advent Geneva
  • Have experience of Fund of Funds
  • Have experience of Swap derivatives Candidates will be required to attend for interview
192

Fund Accountant Resume Examples & Samples

  • General ledger (including fund transaction support), monthly and quarterly management report, unit pricing and statutory reporting processes for relevant entities using various general ledger platforms. To be completed in accordance with the relevant regulatory requirements through leadership, sound decision making, creative thinking, and the implementation of leading practice, process and controls
  • Be part of a high performing team which consistently delivers against both the Investment Finance (IF) objectives as well as the wider AMPCI corporate objectives
  • Understanding of funds management industry with a focus on finance
  • Time Management Skills, Attention to detail & quality focus
  • Relationship management and influencing skills
  • Data analysis, modelling and benchmarking skills
  • Sound knowledge and experience in Accounting standards, principles and procedures and a high level of knowledge in Fund accounting, including compliance and reporting requirements
  • Sound presentation skills and strong communication skills
  • Bachelors in commerce, business or finance. CA/CPA qualified or part qualified with 2 years or more experience in Fund Accounting or Chartered Firm
  • Prior exposure to Infrastructure Assets and/or Private Equity is preferable
  • Working knowledge of the Australian & International wealth management industry, including industry issues, trends, investment products and processes
193

Senior Fund Accountant Resume Examples & Samples

  • Troubleshoot/ resolve operations issues independently as per Letter of Authority/ authority levels following established guidelines and procedures. Maintain appropriate audit trails
  • Problem-solve escalated issues, including more complex exceptions referred from others
  • Escalate all unresolved processing issues to the appropriate level, as per guidelines, including system, software and hardware failures
  • Prioritize work in accordance with policy and severity of service impact to minimize financial/ customer impacts. Change work plans within pre-determined deadlines
  • Act as SME for area of expertise. Provide advice in the completion of processes within established guidelines and procedures
  • 3 to 5 years of related experience
  • Good knowledge of standard desktop applications used by the business unit
  • Strong knowledge and understanding of the business unit’s key products and services, processes and controls
  • Strong prioritization skills
  • Strong customer service and relationship management skills
  • Good coaching and training skills
  • Ability to multi-task in a fast-paced environment
194

Fund Accountant Resume Examples & Samples

  • Creation and uploading month-end journals to Corporate Accounting application (PS EMEA)  Reconciliation of Fund Admin/Fund Accounting application (Investpro) to Corporate Accounting application (PS EMEA)
  • Reconciliation of Fund Admin/Fund Accounting application (Investpro) to Corporate Investment Application (PAM)
  • Responsible for the preparation of Balance Sheet reconciliations to support Cadency sign-off  Responsible for the preparation of the Fund Accounting Month-End Reporting pack
  • Anticipate and resolve asset issues on Corporate Investment Application (PAM) related to Unit Linked
  • Support internal projects including Solvency II, LESS, Product Developments and ad-hoc projects
  • Working closely with and supporting Technical Reporting/Actuarial/Investments/Fund Admin  Continuous process improvement (automation, documentation & control)
  • Support Fund Admin/Fund Accounting manager with Governance Reporting to internal Functions, Groups, Subcommittees and Committees
195

Fund Accountant Resume Examples & Samples

  • Provide support to product managers with the oversight of fund administrators production of fund financial statements
  • Develop tools for effective monitoring of funds' total expense ratios and profitability, liaising with service providers where appropriate
  • Develop procedures for effective implementation and monitoring of funds non standard fee arrangements (eg all-in fee, fee caps etc…)
  • Draft and keep up to date fund budgets and ensure they are approved by the relevant governing body prior to implementation
  • Action payment of fund third party expenses and ensure appropriate allocation across funds/classes
  • Stay abreast of market developments and best practice standards through building strong relationships with auditors and other service providers
  • Advise the rest of the business on best practice in fund accounting matters (eg WHT reclaim accounting, performance fee, income equalisation, accounting standards, prospectus disclosures, etc ....)
  • Ensure timely execution of all BAU processes with a focus on minimising enterprise risk
  • Assist with ad hoc initiatives (e.g. fund launches and restructures)
196

Senior Fund Accountant Resume Examples & Samples

  • Production and review of daily NAV for flagship Multi-Strategy fund
  • Production of weekly return estimates and monthly NAVs
  • Independent price verification of products within the fund. Testing would be tailored to prior experience but a strong understanding of at least one of the following areas and the products traded is required - Equities, Credit, Volatility, Rates, FX
  • Reconciliation and reasonability tests of "Below the Line" PL items such as dividends, coupons, borrow and financing costs
  • Assistance with Investor Relations reporting
  • Involvement in the Funds' accounting requirements such as mid and full year Financial Statements produced under US GAAP
  • Assistance with Fund audits
  • Assist with the preparation of regulatory filings including, Form PF, PQR and AIFMD submissions
  • P&L and Feeder Fund FX Hedging
  • Further valuations experience in full spectrum of products
  • Accounting Policy decision making
  • Infrastructure specification and testing
  • Be a Qualified Accountant or CFA
  • Be a highly motivated financial controller looking to join a Multi Strategy Hedge Fund Manager
  • Have significant experience at a Hedge Fund or Investment Bank
  • Have a University Undergraduate degree or equivalent qualification
  • Have advanced Excel skills, VBA/Macro knowledge and strong Bloomberg experience
  • Be well organised, have excellent attention to detail, and strong communication skills for interaction with trading, management and other teams
197

Senior Fund Accountant Resume Examples & Samples

  • Analytical skills are required to research and resolve inquiries
  • Strong written and oral communication skills are required to disseminate information to team
  • Strong experience in accounting, financial industry operations or fund valuation
198

Fund Accountant Resume Examples & Samples

  • Fund accounting experience or a Min. 2.2 honors degree in Accounting, Finance, Legal, Business, Engineering Degree
  • Good initiative tempered with identifying when escalation is required
  • Reliable, dependable and committed
  • Take ownership of designated tasks
199

Senior Fund Accountant Resume Examples & Samples

  • 2+ years of Public Accounting and/or Private Industry experience
  • Experience with Hedge Fund and/or Private Equity clients
  • Previous experience with Credit Derivatives, Derivative Instrument Disclosures, Fas 157 / ASC 820-10, FAS 161, Financial Statement Preparation, GAAP, General Ledger, and Month-end Close
200

Senior Fund Accountant Resume Examples & Samples

  • Bachelor's degree with a concentration of accounting/finance. CPA preferred, but not necessary or candidate can be working towards or already have the necessary qualifications to sit for the CPA exam
  • Experience in Fund/Partnership accounting is preferred
  • Good working knowledge of Microsoft Excel/Word and Quickbooks
  • Excellent organizational, communication and multi-tasking skills
201

Senior Fund Accountant Resume Examples & Samples

  • Coordinating and managing the annual financial statement audits and SOX/SOC-1 testing process
  • Managing the process for preparing and reporting consolidated fund level accounting and performance data to internal users against tight deadlines
  • Liaising with several departments, including fund accounting, corporate accounting, and corporate finance personnel, to communicate fund performance data and address related questions
  • Performing reviews in connection with the reporting process for consistency and accuracy; identifying areas for process improvement, enhanced controls, standard templates, and best practices
  • Performing other tasks and ad hoc projects as required
  • Minimum 2-4 years’ experience in accounting with a mix of public and private preferred
  • Strong knowledge of closed-end private investment funds, investment company accounting and partnership accounting a plus
  • Annual financial statement audit process experience required, preferably 2-4 years
  • Experience with accounting systems and MS Office Excel required
  • Knowledge of the Financial Services industry; with Asset Management knowledge preferred
202

Fund Accountant Resume Examples & Samples

  • Prepare and post journal entries for fund corporate business units monthly close process
  • Maintain and update fund general ledgers and associated subledger schedules
  • Develop financial statement and associated schedules for quarterly investor reporting packages
  • Prepare fund monthly and quarterly partner distribution calculations
  • Bachelor degree from accredited university, CPA or CPA candidate preferred
  • One or more years of accounting experience; real estate or public accounting preferred
  • Strong written and oral communication skills and a high attention to detail
203

Fund Accountant Resume Examples & Samples

  • Relevant experience gained with audit firm or administration company
  • Part or fully qualified accountant / accounting degree
  • Experience of working on all Luxembourg legal structures
  • Excellent understanding of and ability to work on regulatory reporting, CSSF, BCL, RCS
  • Good working knowledge of financial products, CPEC, IPEC etc
204

Fund Accountant Resume Examples & Samples

  • Performs routine duties and data analysis for hedge funds or separate accounts
  • Reconcile various accounts, research variances and correct as required
  • Conduct daily verification of capital flows conduct ad hoc research and analysis
  • May perform other tasks as directed
  • Involved in any adhoc duties and expected to do OT at monthen
205

Fund Accountant Resume Examples & Samples

  • 3+ years of Auditing and Fund Administration experience
  • Exceptional Accounting skills
  • Highly orgnaized
  • Working knowledge of Portia and Bloomberg
206

Senior Fund Accountant Resume Examples & Samples

  • Third level qualification (minimum 2.2 degree), qualified or part qualified accountant or other relevant qualification
  • Minimum of two year's experience in the administration of Hedge / Mutual Funds
  • Proficient in the Microsoft Office suite of software applications
  • Working knowledge of Bloomberg and Advent Geneva
  • Understanding of funds, fund structures, fee calculations, trading strategies, financial instruments and fund offering documentation
207

Fund Accountant Resume Examples & Samples

  • Prepare accounts and subsidiary information for Investment Trusts ensuring timely and accurate delivery to agreed timetables and SLA standards and ensure compliance with appropriate accounting standards, relevant SORPs and other regulations
  • Prepare schedules and information in relation to Investment Trust's board meetings ensuring timely and accurate delivery to agreed timetables and SLA standards
  • Provide technical support for the NAV calculation and fund accounting processing functions
  • Complete monthly audit reviews to validate the accuracy of accounting records
  • Prepare / review income forecasts
  • Prepare / review ad-hoc reporting and calculation requirements in support of Client fund requirements in accordance with SLA standards
  • Liaise with internal and external parties relevant to Trust deliverables (includes clients, auditors, tax consultants and others)
  • Ensure effective recording and resolution of external / internal queries
  • Be aware of the risks of team operations and deliverables and assist in their management ensuring required controls maintained and compliance with procedures
  • Where appropriate or required deputise for Senior Investment Trust accountants and provide cover and support for Pricing Accountants and for other Investment Trust teams
  • Experienced accountant with sound double entry and financial accounting knowledge including UK GAAP or equivalent standards exposure
  • Experience of fund accounting environment including coverage of pricing, statutory and other reporting
  • Experience of AIC SORP requirements and financial reporting for Investment Trust or equivalent vehicles
  • Experience of Taxation requirements for Investment Trust or equivalent vehicles
  • Accounting qualification (part of fully qualified) or qualified by experience
208

Fund Accountant Resume Examples & Samples

  • Analysis and reconciliation of Balance Sheet and Profit and Loss Account Ledger
  • Annual statutory Financial Statements
  • General ledger and reconciliation of quarterly VAT Returns
  • Monthly Management Information
  • Production of quarterly information
209

Senior Fund Accountant Resume Examples & Samples

  • Assist with month-end close responsibilities
  • Assist in investor presentations and reports
  • Experience within financial services (private equity, hedge funds)
210

Fund Accountant Resume Examples & Samples

  • 2+ years of Public Accounting and/or Private Fund experience
  • Bachelor’s Degree in Accounting, Business, Finance or a related discipline
  • CPA (or parts passed)
  • Previous experience with Credit Derivatives, Financial Reporting / Statement Preparation, Inventory Accounting, and Month-end Close
  • Basic understanding of various investment classes
  • Experience with Public Accounting with Alternative Asset Management clients or at a Private Equity Firm or Hedge Fund
  • Credit focused
211

Fund Accountant Resume Examples & Samples

  • Produce interim and year-end financial statements for assigned funds
  • Assist in documenting procedures and controls for new and existing processes
  • Meet client KPI's and service delivery commitments
  • Working towards or studying for a professional accounting qualification
  • Experience working in the Financial Services Sector
  • Dealing with Open Ended Collective Investment Schemes
  • Solid numerical and analytical skills
212

O&t-senior Fund Accountant Resume Examples & Samples

  • Degree in Accounting, Business or related accounting qualifications such as CPA or ACCA
  • The candidate have two to three years of relevant work experience, particularly in financial statements preparation and/or audit experience in accounting firm
  • Ability to prioritize tasks and work on multiple assignments to meet tight deadlines
213

Fund Accountant Resume Examples & Samples

  • Assist with Audit
  • A Bachelor’s in Accounting and 1+ Years’ Experience
  • CPA or CFA Designation is a Plus
  • Investment Fund Accounting or Operations Experience
  • Excellent Planning and Organizational Skills
214

Senior Fund Accountant Resume Examples & Samples

  • 4-7 years of related accounting experience
  • Demonstrated auditing skills
  • Proven General Ledger knowledge
  • Experience with month-end close
215

Fund Accountant Resume Examples & Samples

  • Accounting oversight (GAAP) for several of the firm’s fund products, including monthly
  • Valuation procedures, with a focus on hedge funds and fund of funds
  • Assist with preparation and review of annual financial statements and supporting
  • Partnering and communicating with various internal business units regarding fund
  • Products and performance data
  • Group project opportunities related to implementation of new product accounting and
  • Operational procedures
  • Bachelors’ degree in Accounting or commensurate experience
  • 0-4 years of relevant accounting work experience. Investment or fund accounting
  • Experience is desirable, as is public accounting (auditing) experience
216

Fund Accountant Resume Examples & Samples

  • Review NAVs for several of the firm’s alternative investment fund products, including monthly or quarterly valuations
  • Manage staff accountants
  • Review annual audited financial statements
  • Liaise with funds’ independent auditors and administrators
  • Bachelors’ degree in Accounting (strongly preferred) or Finance
217

Senior Fund Accountant Resume Examples & Samples

  • Minimum Fund Accounting experience of 6 years
  • Medium Time work experience (> 7 years)
  • Fluent written and verbal German language skills
  • Good English language skills
218

Fund Accountant Resume Examples & Samples

  • 2+ years of experience working within a Public Accounting firm, Hedge Fund, Private Equity Fund or Fund Administrator
  • Working knowledge of Concur
  • Microsoft Office/Suite proficient (Excel, Outlook, PowerPoint, Word)
  • Experience within an Asset Management
  • Exposure to 10k’s and 10Q’s
219

Senior Fund Accountant Resume Examples & Samples

  • Keen interest in working in operations/back-office of fund accounting processes
  • Experience within the financial industry or accounting or fund accounting would be a distinct advantage
  • Knowledge about various instruments of the capital market and basic accounting skills would be a distinct advantage
  • Ability to prepare and analyze statements and statistics
  • Ability to work in a dynamic environment under time pressure with deadlines
  • English - good/intermediate spoken and written
220

Fund Accountant Resume Examples & Samples

  • To produce Unit Trust, OEIC, and CIF interim and final report and accounts, including sign-off of distribution rates and proofing of SORP accounts to the required standard
  • Communicate professionally & effectively with other Departments, Trustees/Depositaries, Custodians, Auditors, and ensuring that they are more than satisfied at all times
  • Strong financial reporting experience under SORP
  • Accounting qualification or equivalent
  • Able to work under pressure to achieve the timetabled deadlines for delivery to the clients
221

Senior Fund Accountant Resume Examples & Samples

  • Preparation cash and asset reconciliations for review and sign off by Supervisor
  • Keeping Supervisor informed of any issues and their progress and highlighting any client concerns/complaints as a matter of urgency
  • Maintaining a friendly but professional relationship for all dealings with clients
  • Up to 2 years work experience in the financial industry
  • Fluency in English is essential
222

Fund Accountant Resume Examples & Samples

  • 4-6 years of public and private or hedge fund administration experience
  • Familiarity with accounting portfolio systems
  • Knowledge of Net Asset Value
  • Partnership Accounting experience
  • Credit product knowledge
  • Knowledge of Advent Geneva
  • Familiarity with Bloomberg
223

Senior Fund Accountant Resume Examples & Samples

  • Review reconciliations from fund accounting systems to brokers and clients for all cash and asset positions
  • Allocate partnership income/expenses (including new issues, side pockets, side letters etc.)
  • Read fund and legal documents in order to accurately and appropriately process transactions and/or calculate various fees/allocations
  • Compute and account for management and incentive fees (including tiers and hurdles)
  • Prepare or review withholding statements, capital roll forwards and investor statements as needed
  • Partner with other groups within BNY Mellon to deliver a superior client experience
  • Assist with training peer staff with supervisor of a team
  • Participate in other projects or tasks as assigned
  • Third level qualification in business related discipline (Finance or similar field will be an advantage, however we equally welcome graduates of all degrees)
  • Proactive, focused attitude towards work and an ability to consistently meet deadlines
  • Initiative and enthusiasm with an ability to achieve challenging goals
224

Senior Fund Accountant Resume Examples & Samples

  • 2-5 years of hedge fund or private equity experience
  • Prior Investran experience
  • Demonstrated corporate accounting skills
  • Mezzanine or regular debt experience
225

Senior Fund Accountant Resume Examples & Samples

  • Investment fund accounting : expertise
  • Fund accounting processes (PF, Hedging, Pooling, Swing,…) : sound knowledge
  • Fundamentals of central administration and custody services : understanding of processes and controls
  • Proficient in analytical skills
  • Understand project management
  • Sound communication skills
  • Sound client relationship
226

Fund Accountant Resume Examples & Samples

  • Monthly reconciliation of hedge funds
  • Track daily options
  • Post journal entries to the G/L
  • Prepare Net Asset Value calculations and reports
227

Senior Fund Accountant Resume Examples & Samples

  • Reconcile the cash balances, portfolios and other data of our funds as required documenting any differences clearly for review by senior colleagues
  • Calculation and processing of any NAV based fees as required
  • Ensuring capital transactions are booked correctly and P&L is allocated correctly at fund class and investor level
  • Maintain fund's budget, ensuring it replicates system entries and information provided
228

Fund Accountant Resume Examples & Samples

  • Qualified or part qualified accountant is preferred but a Business degree will also be accepted
  • Understanding of assets
  • Knowledge of reconciliations
  • Numeracy / Literacy skills
  • Good Understanding of fund administration
  • Experience of general ledger reconciliations
  • VBA experience desirable
  • University Graduate
  • Obtained or studying towards obtaining a professional accountancy qualification
  • Obtained or Studying towards IAQs
  • Experience in change implementation would be beneficial
  • Experience working in financial services or banking
229

Fund Accountant Resume Examples & Samples

  • Booking and checking of all business transactions of the fund (e.g. securities, listed derivatives, OTC Products, FX transactions, dividends, corporate actions, subscriptions, redemptions)
  • Management of the cash accounts detained in the fund – liquidity monitoring & reporting
  • Daily reconciliation of funds books with the securities and financial statements as well as Cash-Systems
  • Net Asset Value Calculation
  • Performing validations of all prices used to calculate NAV’s
  • Control & adjustment of static data at security level (e.g. interest rates, payment dates, etc.)
  • Delivering NAV reconciliation within the agreed deadline to the fund management company
  • Confirmation of the NAV per share / unit to be published and applied in event of subscription or redemption
  • Ensuring the payment and the correct calculation of the general fees payable by the fund (management fees, custody fees, asset manager fees) after re-checking and re-calculation of the figures
  • LI-PL1
230

Fund Accountant Resume Examples & Samples

  • Daily accounting of the assigned funds,
  • Respecting Italian regulatory and funds’ managers rules (tax, fees etc.),
  • Checking & processing of corporate actions according to funds’ portfolio and market practice,
  • Understanding financial instruments and their accounting rules,
  • Being the first reference point for all involved parties,
  • Reconciling custody accounts,
  • NAV calculation and controls delivered on time,
  • Ensuring the correctness of accruals (control and recalculation), i.e., expenses, dividends, interest, performance fees etc
  • Processing forward and spot FX transactions,
  • Processing subscriptions and redemptions,
  • Respecting and updating procedures and check list according to business evolution
231

Fund Accountant Resume Examples & Samples

  • Managing the key Fund administrator relationship to ensure performance delivery, alignment of strategic goals, and maximum commercial benefit for the Finance department and wider business
  • Being the key contact for all administrator issues across the business (Board, Finance, Tax, Execution, IR, etc)
  • Identifying and managing the transition of outsourcing initiatives to the Fund Administrator, whilst safeguarding the continued quality delivery of internal work streams in a timely and efficient manner
  • To develop a deep understanding and knowledge of the teams’ operational processes and business drivers that shape the role of the IM and FA functions and their interactions with the Fund Administrator
  • To assist in the process of valuing, accounting and reporting for Coller Capital’s portfolio of investments
  • Ad hoc department wide initiatives and projects, as well as representing finance in cross function discussions
  • Help forecast and monitor cash requirements for the Coller Funds, ensuring sufficient liquidity to meet investment costs and expenses, whilst maximising returns to investors
  • Assist in the preparation of a weekly reporting pack to be distributed to senior management
  • Review quarterly accounts prepared by the Fund administrator to ensure complete and accurate data; validation of capital calls and distributions to investors
  • Perform valuations of underlying investments
  • Capture cash flows related to investment positions in the bespoke Investment Monitoring system
232

Fund Accountant Resume Examples & Samples

  • Overall support for Fund and Management Company reporting
  • Review monthly bank reconciliations including initiating any journal entry adjustments
  • Review payables allocation for all invoices allocated across entities
  • Ensure that credit facility schedules are updated and interest expense is calculated appropriately
  • Approve/Post journal entries and payables in software
  • Assist Fund/Corporate controller with year end audit requests
233

Senior Fund Accountant Resume Examples & Samples

  • Perform key daily / weekly / monthly processes to ensure the accounting records are accurate and up-to-date,
  • Identification, analysis and escalation of exceptions in a timely manner,
  • Produce daily accounting data for input into the books and records of the funds that has not been automatically generated by the accounting platform,
  • Liaise with key stakeholders within Investment Services and Fund Accounting and other departments with Fidelity,
  • Liaise with internal auditors
  • Knowledge of the asset management industry
  • Excellent attention to detail and ability to identify issues of potential risk
  • Able to communicate effectively with colleagues and internal customers
  • Strong analytical and investigations skills with an enquiring mind
  • Good MS experience with emphasis on Excel
  • Accurate and numerate
  • Willingness to work additional hours and bank holidays as the business dictates
  • Experience in a fund accounting role, ideally with exposure to pooling, mutual fund and ETF products
234

Fund Accountant Resume Examples & Samples

  • Fund Accounting is responsible for maintaining the books and records of a broad range of funds which includes OEICs, Investment Trusts and other closed end companies; Authorised Unit Trusts; money funds; life company funds and benchmark specific unitised funds. The department completes all the Regulatory Reporting on these funds as well as signing off the daily NAVs and explaining all security and other asset movements in the funds. The Fund Accounting function is split into two teams; the Product Control team and the Reporting team
  • Fund Accounting Product Control are responsible for the daily valuation of all products and instruments held on the Onshore funds and for ensuring that all information relating to the Report & Accounts is accurately reflected on the Invest One, the accounting system
  • The jobholder will also be involved in the team’s regulatory reporting requirements, supporting of new project initiatives and also the effective management of ad hoc queries
  • Participation in the NAV sign off process/accurate calculation and checking of daily NAVs
  • Perform monthly expense reconciliations and prepare expense schedules as part of interim and year end accounts process
  • Documentation and processing of daily controls
  • Analysis to determine correct treatment of special dividends
  • Analysis, processing and review of income adjustments for scrip dividend receipts
  • Preparation of ad-hoc fund payment instructions
  • Development, implementation and documentation of procedures
  • Assist in fund launches and closures
  • Project input at a technical level for Fund Accounting initiatives
  • Provide regular updates to stakeholders
  • Proven prior Fund Accounting, Fund Administration experience
  • OEIC NAV calculation experience
  • The candidate should be a good communicator with a can do attitude. They have a flexible approach, they are self-motivated and a strong team player
  • Good analytical skills, accurate and numerate with excellent attention to detail
  • Good working knowledge of Office applications, particularly Excel
  • Excellent verbal and written communication
  • Flexible attitude and approach to duties
235

Senior Fund Accountant Resume Examples & Samples

  • Researching internal differences between the accounting and trade entry systems
  • Working with auditors to prepare and present year-end financial accounts
  • Bachelors degree in Accounting or related field
  • Prior experience with various financial products; for example equities, fixed income, repurchase agreements, futures, FX, mortgages and options
  • Working knowledge of corporate actions
236

Fund Accountant Resume Examples & Samples

  • Cash and holdings reconciliations between core systems, custodian, prime broker and Investment Manager
  • Investment accounting – including trade entry, securities and holdings data maintenance
  • Full NAV calculation – income and expense accruals
  • Investor related processing – including subscriptions and redemptions
  • Price file uploads including variance analysis and research utilizing Bloomberg terminals
  • Generate daily and/or monthly client reports
  • Produce monthly, quarterly and year-end financial statements including audit support, analytical review, research and resolution of discrepancies
  • Manage relationships with clients and counterparties and handle queries
  • Assist with implementation of new clients and special projects
  • System release testing
  • Post secondary degree is required – Accounting or Finance preferred
  • Applicants must possess mutual fund or investment accounting experience, preferably in hedge funds
  • Thorough understanding of investment products (exchange traded, derivatives and OTCs)
  • Exposure to financial statements and notes is an asset
237

Fund Accountant Resume Examples & Samples

  • Perform the day-to-day operation of fund accounting process including data and supporting document gathering, accounting entry and adjustment, confirmation and reconciliation, report printing and distribution and etc
  • Support general administration and relevant works e.g. bank account opening, follow up trade confirmation, coordinate with counter parties, internal contact and regulators
  • Undertake special projects as assigned by supervisor
  • Bachelor Degree in Accounting or related fields
  • 2-3 years in asset management or related business with few years in book of account closing works
  • Details orientation, hard-working, fast learner
  • Good communication and computer skills
238

Fund Accountant Resume Examples & Samples

  • Preparation of interim and annual financial statements for a range of dividend and interest paying OEIC and Unit Trust funds
  • Ownership of a defined set of funds of varying complexity and size, completing regular reviews substantiating material income and expense balances
  • Conduct analysis and review of dividend announcements to ensure correct accounting treatment
  • Resolution of audit queries and reconciling positions to Depositary statements
  • Previous fund statutory reporting experience
  • Part qualified accountant or qualified by experience
  • Proven ability to communicate and work with all levels of personnel
  • Analytical approach with aptitude to work independently and solve complex problems
  • Proven ability to prioritise and organise own time in order to meet strict deadlines
  • Strong proficiency with Microsoft Excel
239

Fund Accountant Resume Examples & Samples

  • Coordination of external audits, Form PF filings, Management Company reporting requirements
  • Preparation and review of monthly, quarterly and annual financial statements and partner capital recording packages including all supporting work papers and disclosure documents
  • Assisting with integrating new clients onto the TNR software package
  • Prior supervisory experience
240

Senior Fund Accountant Resume Examples & Samples

  • 3 to 5 years of business purpose/commercial documentation experience handling non-complex transactions
  • Good knowledge and understanding of business unit’s key products and services, processes and controls
  • Good understanding of business unit’s risk and regulatory requirements
  • Good understanding of internal business partner’s business, services and organization
  • Good knowledge of area(s) of expertise and ability to perform business purpose lending activities, including but not limited to, order and review of required entity and collateral due diligence, preparation of loan documents, perfection of collateral and set-up of exception/ongoing monitoring requirements
  • Accurate data entry skills
  • Good decision-making skills
  • Good prioritization and organization skills
241

Senior Fund Accountant Resume Examples & Samples

  • Prepares monthly, quarterly and annual portfolio level consolidated financial statements and other client reporting
  • Maintains shareholder registries
  • Prepares periodic financial statements and assists with audit and tax preparation and audit review
  • Performs periodic asset payment, cash and corporate action reconciliations
  • Posts journal entries and money-movement transactions
  • Prepares and reconciles daily trial balances for assigned funds
  • Updates and monitors daily trading, general ledger activity and pricing of funds to ensure accuracy of daily NAV calculation
242

Fund Accountant Resume Examples & Samples

  • Minimum three years of business related experience – preferably within the Fund Management Industry
  • High level analytical and problem solving
  • Ability to manage multiple priorities under strict deadlines
  • Ability to understand complex technical issues
  • Proficiency with Word, Excel and other Microsoft applications preferred
  • Excellent interpersonal and motivational skills
  • Customer service orientation with excellent interpersonal and communication (oral and written) skills
  • Team player with positive attitude
243

Fund Accountant Resume Examples & Samples

  • Help forecast and monitor cash requirements for the Coller Funds, ensuring sufficient liquidity to meet investment costs and expenses, whilst maximising returns to investors. This includes liaising with Execution and deal teams, external parties to execute FX trades, loan drawdowns, repayments and so on
  • Assist in the preparation of a weekly reporting pack to be distributed to senior management, which includes cash reconciliations, material movements and review of invested capital
  • Review quarterly accounts prepared by the Fund administrator to ensure complete and accurate data
  • Validation of capital calls and distributions to investors
  • Accurately record and classify cash flows related to investment positions in the bespoke Investment Monitoring system
  • Generating ideas for process improvements and efficiencies
  • Participating and/or leading wider Finance initiatives and projects
  • Be the key external facing Coller contact for all administrator matters
  • Monitor the execution of the annual strategic priorities and ensure these are reviewed in bimonthly roadmap meetings
  • Maintain strong knowledge of the Service Provider team, who operate across multiple geographies and teams; take responsibility for legal and fee negotiations and smooth transition of processes where necessary
  • Ensure the Fund administrator consistently delivers on Key Performance Indicators (KPIs) and monitor their weekly priorities to ensure they are in line with Coller deliverables
  • Take the lead in identifying service provider issues and proposing the most appropriate resolution approach
  • Ensure that quarterly presentations to the Board are well organised and provide meaningful outputs
  • Ensure that Service Level Agreements (SLAs) are up to date and that fee negotiations are handled professionally
  • Build and maintain strong working relationships with key internal stakeholders to assist with the identification of internal operational processes that can be considered for outsourcing
  • In order to improve overall effectiveness of the Finance department, act as the key bridge between Coller Capital and the Fund administrator to project manage the transition and integration of the Finance department’s outsourced business requirements
  • Excellent communication and people skills to create, develop and maintain strong business relationships with internal and external stakeholders
  • Excellent collaboration skills; demonstrate the ability to work with people at all levels to share knowledge, identify, define and implement projects
  • Demonstrate strong impact and influencing skills to change and achieve results in a positive manner
  • Demonstrates excellent interpersonal and facilitation skills, coupled with a history of forging and maintaining close working relationship with members of the business community and third party vendors
  • Aptitude to create clear and achievable targets and then delegate and manage to these targets effectively
  • Proven communication (technical and non-technical), influencing and problem solving skills. Remains calm and decisive under pressure
244

Fund Accountant Resume Examples & Samples

  • 1+ year of relevant alternative asset experience with a hedge fund, fund administrator or public accounting firm
  • Degree in Finance or Accounting
  • Familiarity with various financial software solutions such as Bloomberg
245

Fund Accountant Resume Examples & Samples

  • Communicate with clients and problem solve related issues
  • Assist with projects necessary to implement more efficient and timely reporting functions
  • Assist with various audit and tax reporting requests
  • Working knowledge of Bloomberg and Advent Geneva or Advent Partner, a plus
246

Senior Fund Accountant Resume Examples & Samples

  • Supervise a team of fund accountants in all aspects of fund administration
  • Financial statement preparation and review includes: the statement of assets and liabilities, schedule of net asset value per share, statement of operations, statement of changes in shareholders’ equity, and the statement of cash flows
  • Ensure security types are accounted for correctly, including equities, fixed income, options, futures, and many other derivative investments
  • Deliver training on all aspects of fund accounting
  • Previous experience in supervisory role, leadership skills a plus
  • Understanding of securities and financial markets
247

Senior Fund Accountant Resume Examples & Samples

  • Experience within the financial industry or accounting or fund accounting
  • Knowledge about various instruments of the capital market and basic accounting skills
  • English - good spoken and written
248

Fund Accountant Resume Examples & Samples

  • Reconciliation of the portfolio from broker to in-house systems
  • Ensuring compliance with regulatory requirements and other requirements of the funds specifications
  • Detailed review of NAV calculations for Hedge Funds
  • Preparation of financial statements as required
  • Supervision and training of Fund Accounting staff
249

Fund Accountant Resume Examples & Samples

  • Bachelor's degree in accounting or finance, or equivalent experience required (strong preference towards a bachelor's degree in accounting)
  • Must have strong problem solving, leadership and analytical skills
  • Must have good interpersonal, customer service, and organizational skills
  • Demonstrates the ability to accept and adapt to a changing environment
  • Basic PC and/or system skills required
250

Senior Fund Accountant Resume Examples & Samples

  • Calculation of NAV
  • 1+ year of accounting experience, mutual fund accounting experience preferred
  • Experience with mutual fund accounting software