Search by job, company or skills

P

Asset & Wealth Managed Services (AWMS) - Fund Accounting Assistant Manager

6-10 Years
new job description bg glownew job description bg glownew job description bg svg
  • Posted 20 hours ago
  • Be among the first 10 applicants
Early Applicant
Quick Apply

Job Description

We believe that challenges are better solved together. Join a diverse, global community of solvers an unexpected mix of people who come together to build trust in society and solve important problems. At PwC, you are encouraged to lead with your heart and values, and put your unique skills to work in unexpected ways, superpowered by technology.

Role Overview:

As part of Singapore's leading Asset and Wealth Management team, you will manage a portfolio of fund manager, family office, and asset owner clients. You will drive engagements to meet objectives and budgets, act as the main point of contact, and ensure client satisfaction. You will lead a team, coach junior staff, and assume preparer responsibilities when required. You will also enhance fund accounting and transfer agency operational readiness while improving work processes through technology.

Key Responsibilities:

Fund Accounting

  • Provide and/or review accounting and fund administration services for open-ended, closed-ended, and evergreen alternative investment funds, including private equity, venture capital, real estate, fund-of-funds, and family offices.
  • Prepare and review NAV reporting packs (monthly, quarterly, semi-annual, annual), including trial balances, balance sheets, statements of operations, bank reconciliations, and investment holdings reports.
  • Prepare and review financial statements with FRS/IFRS/RAP 7/US GAAP disclosures.
  • Oversee audits of funds and liaise with auditors for timely completion.
  • Resolve client accounting issues and maintain high-quality deliverables.
  • Develop operational and system procedural manuals to manage operational risks.

Transfer Agency Services

  • Maintain shareholder/investor registers.
  • Prepare and review capital call, distribution, redemption, conversion, and share transfer calculations.
  • Ensure AML compliance for capital activity documentation.
  • Manage commitment agreements, drawdowns, and uncalled commitments.
  • Deliver FATCA/CRS/K1 services to clients.

Investor Services

  • Oversee client onboarding and ensure proper fund and fund structure setup per governing documents.
  • Resolve onboarding issues with fund managers and stakeholders.
  • Maintain adherence to fund policies and procedures to protect clients interests.
  • Prepare and review investor onboarding documentation for AML/KYC compliance.
  • Manage day-to-day fund operations and coordinate with third parties.
  • Organize board and shareholder meetings.
  • Manage overall client relationships and inquiries.

Team Management

  • Coach, supervise, and review junior staff work to ensure timely delivery and quality.
  • Monitor and track team performance against SLAs.
  • Plan resources in line with business demands and assist in recruitment if needed.
  • Resolve complex fund accounting and administration issues for clients.
  • Keep senior management updated on material issues affecting deliverables.
  • Identify process improvement opportunities to enhance efficiency.
  • Assist in billing and monitoring client service fees.
  • Maintain internal controls as per SSAE 16 requirements.

FA/TA Operational Readiness & System Implementation

  • Enhance fund accounting and transfer agency operational and organizational readiness.
  • Identify pain points and propose process improvements leveraging technology.
  • Manage project scope, budget, risk, schedule, performance, deliverables, and issue resolution.

Qualifications & Experience

  • Bachelor's or Master's degree in Accounting or Economics.
  • Minimum 6 years experience in alternative investment fund administration, Big 4 audit, or domiciliation.
  • Knowledge of family offices, asset and wealth management industry operations, and valuations.
  • Strong understanding of Singapore fund structures (VCC, Pte. Ltd., limited partnership, unit trusts).
  • Accounting experience in fund-of-funds, single-manager funds, venture capital, real estate, and private equity funds is preferred.
  • Competent in Singapore FRS/IFRS/RAP 7 and US GAAP.
  • Experience in compliance, KYC procedures, and Singapore regulatory filings.
  • Professional designation such as C.A., C.P.A., or C.M.A. is a plus.
  • Advanced MS Excel, Word, PowerPoint; Allvue system experience is a plus.

Attributes & Skills

  • Professional, confident, and highly motivated self-starter.
  • Able to handle multiple projects in a fast-paced environment.
  • Meticulous, analytical, and detail-oriented.
  • High personal integrity and emotional intelligence.
  • Strong team spirit with the ability to take initiative.

About Company

At PwC, we help clients build trust and reinvent so they can turn complexity into competitive advantage. We’re a tech-forward, people-empowered network with more than 370,000 people in 149 countries. Across audit and assurance, tax and legal, deals and consulting we help clients build, accelerate and sustain momentum. Find out more at www.pwc.com.
A career in our Accounting Services practice, will provide you with the opportunity to help our clients manage and meet their accounting and compliance requirements.
Our team provides our clients with customised accounting services based on their needs and current Singapore Financial Reporting Standards (or International Financial Reporting Standards) guidelines. You’ll work with our team to provide specialist advice in areas such as financial instruments, business combinations, pensions and share schemes, corporate treasury, company secretarial and corporate governance.

Job ID: 138844031