Fund Accounting Manager
2 weeks ago
Get AI-powered advice on this job and more exclusive features. Direct message the job poster from Linnovate Partners Linnovate Partners is a Funds service and FinTech company which has become a disrupter and leading asset servicing company in the alternatives investment industry. With 9 offices worldwide and over 200 employees, we leverage on automation and data integration technology to meet a wide range of requirements for asset and fund managers by providing solutions ranging from fund administration to reporting to monitoring. Linnovate Partners administers over $100 billion in assets globally. We are growing rapidly around the globe and we are looking for people who are passionate to make an impact to join our Singapore office. Assistant Fund Accounting Manager, Alternative Funds Services, Singapore Responsibilities Provide accounting services for private equity fund clients including preparing and processing transactions and other fund accounting output for subsequent review. Provide support to respond to client and or investors’ queries. Review fee calculations (management fees, capital call amounts, distribution amounts, carried interest and waterfall) and verifying that calculations are in accordance with the applicable fund terms. Review various statements and notices including but not limited to investor capital call and distribution notices. Review ad-hoc requests regarding fund and investor specific reports as well as analysis. Review fund’s quarterly and annual financial reports. Review SPV accounting. Understand and assist clients with other reporting, such as CRS/FATCA, VAT, K1s, K3s etc. Assist clients to address and resolve audit inquiries from external auditors during year-end audit. Participate in pre-project stage discussion with the clients and to define more detailed services model for specific clients as required. Assist the onboarding of existing funds and the launch of new funds. Participate in the internal as well as external technology solutions to address the complex reporting and data requirements of clients. Participate in strategic planning and review to continuously improve processes and the team’s performance. Exposure to and learning the latest technology solutions in the asset servicing industry, and driving automation for less manual bookings and providing more value-added services to clients. Perform additional duties as and when assigned. Qualifications Bachelor’s degree in Accounting or Commerce or Finance or a related degree with a major in Accounting. An internationally recognized accounting qualification or undertakings of such professional qualifications such as CPA, CA is highly regarded. Minimum of 4-6 years of experience in accounting with a specialty in private equity, or a combination of audit/fund administration and private equity funds experience is highly regarded. Knowledge of different accounting standards (IFRS, USGAAP). Other Skills Strong written and verbal communication and presentation skills. Able to work under pressure, multi-task and enjoy working in a fast-paced environment. High integrity and accountability for proposing solutions, time management and reporting back to management in a timely manner. Detail-oriented and analytical, able to perform work with high accuracy, mature, self-motivated. Good problem-solving skills and a team player. Proactive manner with excellent organizing and planning skills. Fluency in both spoken and written English. Proficiency in spoken Chinese Mandarin is a plus. Proficiency in Excel and other windows-based software. We are offering our people with an inclusive environment where your ideas matter. If you are an achiever who enjoys working in a fast-paced and collaborative setting, surrounded with great people and inspiring leaders, come and join us Please send us your updated CV to: We’re unlocking community knowledge in a new way. Experts add insights directly into each article, started with the help of AI. #J-18808-Ljbffr
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