FUND ACCOUNTANT Required in Singapore


Job Description

  • Maintain full sets of accounts for fund entities, including preparation and posting of journals, accruals, and reconciliations with accounting standards.
  • Prepare periodic Net Asset Value (NAV) calculations, ensuring accurate valuation of both liquid and illiquid investments across diversified portfolios.
  • Record and reconcile all investment-related transactions, including acquisitions, disposals, income, and distributions across multiple asset classes.
  • Perform portfolio valuation in line with established policies, applying appropriate fair value methodologies for private and hard-to-value investments.
  • Prepare financial statements, including balance sheet, income statement, and cash flow reports.
  • Support portfolio performance reporting by providing analysis and key metrics such as IRR, MOIC, and overall fund performance.
  • Monitor cash positions across multiple entities, ensuring sufficient liquidity for investments, capital calls, and operational requirements.
  • Perform regular bank, custodian, and broker reconciliations, and investigate and resolve discrepancies on a timely basis.
  • Liaise with external auditors by preparing audit schedules, supporting documentation, and responding to audit queries to ensure smooth audit completion.
  • Ensure compliance with fund structures, governing agreements, and regulatory requirements, and support tax reporting in coordination with external advisors.
  • Manage accounting across multiple entities, including funds, SPVs, and holding structures, and support consolidation where required.
  • Identify process improvement opportunities, enhance accounting workflows, and support implementation of systems and internal controls to improve efficiency and data integrity.
  • Requirements

    • Degree in Accounting, Finance, or a related discipline, with a professional qualification (e.g., CPA, ACCA, or CA)
    • Minimum 3–5 years of relevant experience in fund accounting, asset management, or a family office environment, with exposure to multi-asset portfolios and investment structures.
    • Strong analytical mindset with high attention to detail, able to handle complex data, identify discrepancies, and ensure accuracy in financial reporting.
    • High level of integrity and discretion, with the ability to manage confidential information and operate in a trust-based, private environment.
    • Self-motivated, adaptable, and comfortable working in a lean setup, with the ability to prioritize effectively, and communicate clearly with both financial and non-financial stakeholders.

    E-mail us at recruitment@tristar-im.com

    Pay: $4,500.00 - $5,000.00 per month


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