Key Responsibilities :
Fund Accounting Operations :
- Oversee daily and periodic NAV calculations for assigned funds.
- Review and ensure timely preparation of financial statements in accordance with IFRS, US GAAP, or other applicable standards.
- Manage accounting for capital calls, distributions, management fees, and carried interest.
- Monitor and reconcile cash, investments, and investor transactions.
- Liaise with auditors, custodians, administrators, and internal stakeholders.
Team Leadership & Management :
Lead, mentor, and develop a team of fund accountants and senior associates.Manage performance, training, and development plans for the team.Allocate resources efficiently to meet client deliverables and deadlines.Foster a culture of accountability, continuous improvement, and collaboration.Controls & Compliance :
Ensure compliance with internal controls, regulatory requirements, and client SLAs.Implement process improvements and automation initiatives to enhance efficiency.Participate in system upgrades, migrations, and other change management activities.Stakeholder & Client Management :
Act as a key point of contact for internal and external clients.Address complex queries and provide technical accounting guidance.Support onboarding of new funds and clients, including process design and documentation.