
Senior Fund Accountant, Private Equity & Hybrid Fund
- Kuala Lumpur
- Permanent
- Full-time
- Preparation of Net Asset Value calculation and reporting
- Coordinate investor servicing activities. Including investor on-boarding, capital calls, distributions, and other investor reporting
- Maintain a working understanding of fund documentation(s) and apply the terms to the financial reporting and the income and expense allocations
- Maintain a working knowledge of current accounting principles and developing solutions for issues
- Preparation and review of financial statements and footnotes for audit purpose
- Liaise with banks, auditors, brokers and custodians to ensure smooth service delivery to clients and timely completion of deliverables
- Involved in new funds on-boarding process
- Primary contact to client on daily operational, issue discussion and any other request
- Resolve issues/queries raised clients in a timely manner and maintain a high level of client satisfaction
- Identify and highlight opportunities for internal process improvement and increase in operational efficiency
- Perform other duties as assigned and incidental to the work described above
- Hold a university degree in Accounting or relevant /study, qualified accountant or other relevant qualification preferred
- Have a minimum of 3-4 years progressive accounting/ audit/ fund administration experience in Private Equity & Hybrid Funds
- Strong computer skills with strength in Microsoft Office products. Proficiency with Microsoft Excel is particularly asset
- Strong knowledge in IFRS and , US GAAP
- Experience with accounting software: Investran and Geneva would be an advantage