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This is fund accounting and administration at its finest. Where we pair end-to-end expertise with a full spectrum of integrated solutions to exceed our clients’ needs. Here, we advance what’s possible. And give you every opportunity to advance yourself in this fast-moving data-led area.
Job Responsibility
Acting as key/first point of contact for colleagues across Asia-Pacific
Driving preparation of funds' periodic Net Asset Value calculation and year-end financial statements
Driving preparation of fund accounts, periodic and regulatory reports
Guiding junior employees in completing work and acting as first level of review
Assisting Managers in setup of new funds
Learning and implementing best-practice use of accounting software
Pro-actively taking on additional responsibilities as required
Supporting Managers in ensuring quality work delivery
Assisting Managers with internal projects
Requirements
3 – 5 years of experience of working in asset management
Strong academic background
Fully qualified Accountant or strong progress on examinations
Fluent in written and spoken English
Team spirit with ability to work independently
Ability to communicate and collaborate with international colleagues
Ability to work under pressure and meet deadlines
Mature and detail-oriented
High level of IT literacy with strong MS Office skills
Nice to have
Knowledge of fund operations for private equity and/or real estate funds
Fluency in Japanese or Korean
Knowledge of eFront or Yardi systems
What we offer
Support for professional accreditations such as ACCA and study leave
Flexible arrangements, generous holidays, plus birthday leave