Junior Fund Accountant at PROTEGE FUND SERVICES PTE LTD
Singapore, , Singapore -
Full Time


Start Date

Immediate

Expiry Date

13 Nov, 25

Salary

3200.0

Posted On

14 Aug, 25

Experience

0 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Financial Statements, Financial Markets, Finance, Management Skills, Interpersonal Skills

Industry

Accounting

Description

COMPANY DESCRIPTION

Protege Fund Services is an independent Singapore based Fund Administrator. We serve a growing list of sophisticated client base ranging from individual private clients to large financial corporations.
We believe in building a long-term working relationship with our clients to create successful partnerships through customized and innovative solutions. Safeguarding our clients’ privacy and confidentiality interests through robust operational processes and original solutions is our top priority.

QUALIFICATIONS

  • Good team player and possesses an excellent working attitudeGood knowledge of financial markets and financial products
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GOOD KNOWLEDGE OF ACCOUNTING AND UNDERSTANDING OF FINANCIAL STATEMENTS

  • Strong analytical and problem-solving skills
  • Attention to detail and time management skills
  • Excellent communication and interpersonal skills
  • Diploma in Accounting, Finance, or related field
  • Fresh graduate or candidates with no direct experience are welcomed to apply
Responsibilities

ROLE DESCRIPTION

This is a full-time Junior Fund Accountant role located in Singapore. Some remote work is acceptable. As a Junior Fund Accountant, you will be responsible for the day-to-day fund accounting operations and delivery of Net-Asset-Value packs and reports to fund managers and investors.

ROLES & RESPONSIBILITIES

  • Reports to the Operations Manager
  • Responsibility includes supporting investor relations, fund accounting, and portfolio reporting activities
  • Assist with fund accounting entries of trades and cash transactions into fund accounting systems in compliance with accounting standards
  • Perform portfolio reconciliation with external parties
  • Support NAV financial closing and ensure delivery of NAV packs and reports to fund managers and investors
  • Support multiple asset classes and funds including both liquid and non-liquid strategies
  • Support fund setup process and various fund structures
  • Support in designing and implementing fund administration process automation initiatives to improve operational efficiencies and resiliency
  • Liaison with auditors to support annual audits for fund clientsSupport fund related queries from fund managers
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