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Fund Services.PE Fund Accountant

1-6 Years
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  • Posted 17 hours ago
  • Over 50 applicants
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Job Description

We are seeking a diligent and experienced PE (Private Equity) Fund Accountant to join our Fund Services team. In this role, you'll be responsible for a wide range of accounting and financial duties, including maintaining books and records, calculating fund Net Asset Values, and handling investor-related transactions. The ideal candidate is a detail-oriented professional with a strong accounting background who can work efficiently to meet the demands of our private equity fund clients.

Key Responsibilities

  • Fund Accounting & Reporting:
  • Maintain books and records and accurately calculate fund Net Asset Values (NAVs).
  • Prepare comprehensive financial statements and associated reports, including key performance metrics.
  • Coordinate and/or process payments and other transactions efficiently.
  • Investor Services:
  • Perform calculations and investor allocations for capital calls, distributions, and equalizations.
  • Work closely with the Investor Relations team to respond to investor queries and disseminate capital activity notices.
  • Special Projects & Issue Management:
  • Participate in various projects related to the expansion and evolution of the business.
  • Proactively identify and escalate any material issues that could affect service delivery.
  • Perform any other functions required as part of the company's business.

About You

  • Education: A bachelor's degree in Accounting.
  • Professional Qualification: A professional accounting qualification such as CA, CPA, ACCA, or similar.

More Info

Job Type:
Function:
Employment Type:
Open to candidates from:
Indian

About Company

Our heritage, since founding a civil law notary practice in the 1940s to establishing the Curacao International Trust Company in the 1960s, is built on challenging paradigms and delivering exceptional service within the financial and professional services industry. Today, we continue to pioneer award-winning services and technology solutions that meet ever changing markets. A commitment to investing in people, and proprietary technologies, has resulted in our reputation as the industry’s preeminent service provider, reassuring clients that their critical administration functions are in safe hands. Our thought leadership and ability to quickly navigate complex change means our clients can depend on us as trusted advisors to make informed decisions in response to market conditions. Our Divisions Citco Fund Services & Investor Relations CFS is the global leader in services for the alternative investment industry. With over 2,000 funds under administration and net assets exceeding $840 billion, we provide full service fund administration, fund accounting, net asset value calculations, investor relations, and more. Governance Services Leveraging our extensive global office network Citco Governance Services provides customised solutions, including corporate and global subsidiary governance, secretarial services, financial accounting and reporting, tax and audit liaison, and market entry services. Banking, Depositary & Custody Services Citco Banks operate in strategic financial centres and provide Institutional and Fund of Funds clients access to the funds universe through multiple communication and online real-time global funds platforms. Citco Technology Management Through our eight global development centres, Citco Technology Management provides secure infrastructures and develops award-winning technology products that underpin our commitment to service excellence.

Job ID: 124087401

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