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Roles and Responsibilities:
Accounting/Finance
Working together with the external service providers, taking ownership in the financials (full cycle accounting) and records for the Fund and its SPVs (i.e., group consolidated level and standalone entities) across different geographical locations
Prepare/Review consolidation reporting packages or schedules under IFRS/GAAP
Ensure that control standards are maintained and documented as needed for the AIF regulations and support in matters relating to annual audit of the group entities
Work closely with the valuation team to understand valuation methodologies for portfolio investments held by the Funds
Manage the full audit cycle of the Funds and its SPVs
Compliance/Regulatory/Guiding Principles
Assist with KYC/CDD ( Commercial due diligence) updates and processes
Understand and constantly monitor transactions of the Funds to ensure all transactions and processes are in accordance with the LPA and facility agreements
Monitor compliance of various governing agreements with service providers and etc.
Tax
Assist and support in matters relating to Corporate Tax, GST/VAT, withholding tax, and etc.
Work closely with the internal tax team on tax exposure on exit strategies of the Funds
Treasury
Monitor daily cash reconciliation of the group entities and their operational cash float
Partnering with the external service provider to guide payment processing and call backs
Ideal candidate
Minimum of 3 years of PE/Asset Manager exposure
Committed, self-motivated and proactive, with a desire to succeed
Proficient in Excel and Microsoft word
Due to the nature of the role, the Accountant must be familiar with IFRS and possess core audit experience of PE/AIF
Job ID: 132600351