[What the role is]
This role is responsible for the accounting for the fund management subsidiary and supporting the operations of the funds managed by the fund management subsidiary.
[What you will be working on]
As a Senior Accountant, you will be responsible for the following.
Accounting
- Timely and accurate monthly closing
- Cashflow planning & execution
- Handle statutory audit, GST submissions, tax & XBRL filings
- Preparation of Board papers
- Preparation of filings to MAS
- Manage account payable and account receivables
- Collaborate on operational and financial issues
- Support in ad hoc tasks/projects
Fund operations including
- Review monthly NAV reporting packs, reconciliations, and financial reports to ensure accurate and timely submissions
- Process investment and investor transactions, including trade processing, settlement and reconciliation, capital calls and redemptions
Requirements
- Accountancy diploma/degree with at least 5 years of relevant experience
- Experience in fund management industry is required
- Good analytical & problem solving skills
- Meticulous, resourceful and able to work independently
- Capable of managing tight deadlines and multitasking
- Team player with good communication and interpersonal skills
- Proficient in Excel
ASSET_MANAGEMENT