Senior Associate, Fund Accounting

at  Ares Management Corporation

Singapore, Southeast, Singapore -

Start DateExpiry DateSalaryPosted OnExperienceSkillsTelecommuteSponsor Visa
Immediate29 Sep, 2024Not Specified30 Jun, 2024N/AFinance,Microsoft Excel,Career Development,Economics,PerspectivesNoNo
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Description:

OVERVIEW:

The Ares Private Equity Fund Accounting team is seeking a Senior Associate to join our dynamic and collaborative team based in Singapore. This role will report to a Principal on the Ares Private Equity Fund Accounting team.
The role requires flexibility as the scope will span traditional fund accounting duties, along with fund operational responsibilities and understanding/involvement in tax-related workstreams. The ideal candidate would be resourceful, flexible, and balanced. The role can require frequent coordination between various groups, including the investment team, other finance departments, third party administrators, and colleagues working in different offices. Good teamwork and communication skills will be key for success.

EDUCATION:

  • BS/BA with major in Accounting, Economics, or Finance
  • CA preferred

EXPERIENCE REQUIRED:

  • Ideal candidates would have prior experience at the Assistant Manager/Senior Executive level (or equivalent); approximately 3-4 years of experience or more with audit experience preferred.
  • Public accounting experience (Big 4) and/or relevant corporate/in-house experience strongly preferred.
  • Proficiency in Microsoft Excel required.

GENERAL REQUIREMENTS:

  • Meticulous, ability to work collaboratively in a team environment, excellent communication and interpersonal skill, able to work independently, great attitude, highly motivated and a team player.

How To Apply:

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Responsibilities:

PRIMARY FUNCTIONS AND ESSENTIAL RESPONSIBILITIES:

  • Assist with internal and external financial reporting processes.
  • Coordinate with fund administrator in preparing and distributing financial reports and other related materials.
  • Collaborate with internal teams to ensure accurate and consistent communication of financial and corporate information.
  • To maintain the investor relations database and mailing lists including K1/K3 master list.
  • Reviewing capital calls/distribution notices and Partner’s Capital Account Statements.
  • Reviewing financial statements, management accounts and quarterly NAV packages.
  • Assist in managing overall fund liquidity, including opening of bank accounts/custodian accounts/brokerage accounts, KYC queries from banks, execute fund related payment transactions, investor capital calls and distributions, funding of investments and day-to-day management of credit facilities with banks.
  • Ongoing support for investor requests on existing and upcoming fund launches.
  • Ongoing support for regulatory reporting.
  • Various ad-hoc/special projects.


REQUIREMENT SUMMARY

Min:N/AMax:5.0 year(s)

Accounting

Accounts / Finance / Tax / CS / Audit

Accounts Management

Graduate

Proficient

1

Singapore, Singapore