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Private Equity Fund Accountant

Private Equity Fund Accountant

Kerry Consulting
10-12 Years
  • Posted 13 hours ago
  • Be among the first 10 applicants

Job Description

Fund Finance Manager (Private Equity)

Description

Our client is an established private investment firm with a long-standing track record of investing across Asia. With a diversified portfolio of middle-market businesses and a collaborative, hands-on investment approach, the firm is seeking a Fund Finance Manager to join its Singapore-based finance team and support the continued growth of its private equity investment platform.

Responsibilities

Reporting to the CFO, you will take broad ownership of fund finance, accounting and financial reporting across the firm's private equity funds and related investment structures.

You will oversee quarterly and annual financial reporting in accordance with U.S. GAAP and IFRS, including NAV calculations, portfolio valuations, investor capital accounts and carried interest / waterfall calculations. You will manage capital calls and investor distributions, monitor fund cash positions and liquidity, and oversee bank, investment and intercompany reconciliations.

The role will work closely with fund administrators and other external service providers, reviewing and challenging deliverables while ensuring the accuracy and timeliness of fund reporting. You will coordinate annual audits, support tax and regulatory reporting with external advisers, and respond to investor reporting requirements.

You will also support fund and SPV activities across the investment lifecycle, while contributing to process improvements, system enhancements, new fund launches and other finance initiatives to strengthen the firm's overall finance and control environment.

Qualifications

Degree qualified in Accounting, Finance or a related discipline, you will ideally have 10 years of relevant experience across private equity, alternative investment management, fund finance or fund accounting.

You will bring strong experience in financial reporting under U.S. GAAP and/or IFRS, together with practical knowledge of NAV calculations, capital calls and distributions, investor reporting and carried interest / waterfall calculations. Previous Big 4 experience will be highly regarded, alongside a recognised professional accounting qualification such as CA/CPA.

You are analytical, meticulous and hands-on, with strong Excel skills and the ability to manage

To Apply

Please submit your resume to [Confidential Information] quoting LM36230. Due to the high volume of responses, we regret that only shortlisted candidates will be notified.

Registration: R1109874
License: 16S8060

More Info

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Key Skills

U.S. GAAP

intercompany reconciliations

capital calls

portfolio valuations

NAV calculations

carried interest waterfall calculations

fund cash positions

investor distributions

investor capital accounts

About Company

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