About the Role
Responsibilities
- Responsible to onboard new clients and set-up new funds and fund structures into the accounting system in accordance to governing documents (i.e., PPM, LPA, etc).
- Responsible for providing quality accounting/bookkeeping and fund administration service for closed-ended/evergreen Alternative Investments Funds (Private equity/Venture Capital/Real Estate and Fund-of funds) including family offices (the “Funds”).
- Preparation of monthly/quarterly/semi-annual/annual/ Net Asset Value (the “NAV”) reporting pack which includes:
- Trial balances and general ledgers.
- Cash and investment portfolio reconciliation.
- Expenses accruals (Fund-related expenses, Fund Administration fees, Management fees, etc).
- Calculation of (i) Performance fees: incentives fees, carried interests, and/or distribution waterfall and (ii) Clawback calculations, etc.
- Invoice processing (including handling client’s paymen...
Ready to Apply?
Submit your application today and take the next step in your career journey with Confidential.
Apply Now