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krypton fund services

Associate - Fund Accounting

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  • Posted 7 hours ago
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Job Description

Primary Responsibilities:

  • Perform comprehensive fund accounting services, encompassing tasks such as Net Asset Value (NAV) preparation, cash and position reconciliation, corporate action review, and security pricing validation.
  • Execute a broad spectrum of fund administration services, adhering to the company's service model and policies, while fostering effective communication with investment managers, brokers, custodians, and auditors.
  • Cultivate strong customer relationships, ensuring superior service delivery to clients.
  • Engage in system optimization initiatives and ad-hoc projects, contributing to process enhancements.
  • Calculate intricate fee structures outlined in various agreements.
  • Generate periodic financial reports following US GAAP standards.
  • Manage Subscriptions, Redemptions, Switches, and Transfers per fund offering documents guidelines.
  • Initiate wire and account transfer transactions through internet banking platforms for settlements.
  • Maintain and rectify investor details within a centralized database.
  • Support the implementation of the company's global anti-money laundering (AML) framework, ensuring compliance.
  • Contribute to the organization's FATCA/CRS service offering.
  • Support operational coverage across Day and Night shifts as part of a rotational or scheduled shift structure

Qualifications Required:

  • Bachelor's degree in accounting, Finance, or related field.
  • Professional certification (e.g., ACCA, ACA) preferred.
  • Minimum of 2 years of experience in fund accounting or related financial services.
  • Strong understanding of investment products, fund structures, and financial markets.
  • Proficiency in fund accounting software and Microsoft Excel.
  • Excellent analytical, problem-solving, and organizational skills.
  • Ability to prioritize tasks and work under pressure to meet deadlines.
  • Strong communication and interpersonal skills.

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About Company

Job ID: 147243493

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Malaysia, Kuala Lumpur

Skills:

Microsoft ExcelSecurity pricingBooking accrualsCapital call distribution calculationAccounting KnowledgeWaterfall calculationCash and security position reconciliationsInvestor allocationsNAV preparationBalance SheetFund accounting services