Senior Associate, Private Equity Fund Accounting (Evening Shift) at MUFG Investor Services
Kuala Lumpur, Kuala Lumpur, Malaysia -
Full Time


Start Date

Immediate

Expiry Date

24 Mar, 26

Salary

0.0

Posted On

24 Dec, 25

Experience

5 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Fund Administration, Accounting Principles, Financial Reporting, Net Asset Value Calculation, Investor Servicing, Financial Statements, Client Liaison, Process Improvement, Microsoft Office, Microsoft Excel, IFRS, US GAAP, Singapore GAAP, Yardi Accounting Software

Industry

Financial Services

Description
Company Description About MUFG Investor Services: Experience something Brilliantly Different with a career with MUFG Investor Services. Who are we? In a nutshell, MUFG Investor Services is part of the Mitsubishi UFJ Financial Group family, and we partner with over 480 loyal global investment firms to provide them with administration, assert services, banking, and fund financing. We’re in 14 global locations and provide an exceptional hub of Brilliantly Different talent to thrive. #LI-Hybrid Job Description This growth oriented position will have the primary responsibility of providing the full range of fund administration services to our real estate client. This individual will be responsible for understanding and applying current accounting principles to the accounting and financial reporting of funds and for reviewing transaction and valuation information. A partial list of responsibilities and skills includes: Preparation of Net Asset Value calculation and reportings. Coordinate investor servicing activities. Including investor on-boarding, capital calls, distributions, and other investor reportings. Maintain a working understanding of fund documentation(s) and apply the terms to the financial reporting and the income and expense allocations Maintain a working knowledge of current accounting principles and developing solutions for issues Preparation and review of financial statements and footnotes for audit purpose Liase with banks, auditors, brokers and custodians to ensure smooth service delivery to clients and timely completion of deliverables Involved in new funds on-boarding process Primary contact to client on daily operational, issue discussion and any other request Resolve issues/queries raised clients in a timely manner and maintain a high level of client satisfaction Identify and highlight opportunities for internal process improvement and increase in operational efficiency Perform other duties as assigned and incidental to the work described above Able to perform shift work - 2pm to 11pm Qualifications Hold a university degree in Finance/ Accounting, qualified accountant or other relevant qualification preferred. Have a minimum of 5 years progressive accounting/ audit/ fund administration experience in real estate fund or industry. In-depth understanding of fund industry. Strong computer skills with strength in Microsoft Office products and willing to embrace new technologies for efficient solution. Proficiency with Microsoft Excel is particularly asset. Strong knowledge in IFRS, US GAAP and Singapore GAAP Knowledge of Yardi accounting software would be an advantage. Additional Information What’s in it for you to join MUFG Investor Services? Take a look at our careers site and you’ll find everything you’d expect from a career with the fastest-growing business at one of the world’s largest financial groups. Now take another look. Because it’s how we defy expectations that really defines us. You’ll feel that difference in all kinds of ways. Our vibrant CULTURE. Connected team. Love of innovation, laser client focus, and next-level LEARNING & DEVELOPMENT. Oh, and we really walk the talk when it comes to HYBRID WORKING. So, why settle for the ordinary? Apply now for a Brilliantly Different career. MUFG is an equal opportunity employer. Rank: Senior Associate Employment Type: Permanent Full Time
Responsibilities
The Senior Associate will provide a full range of fund administration services to real estate clients, including preparing Net Asset Value calculations and coordinating investor servicing activities. They will also maintain a working understanding of fund documentation and liaise with various stakeholders to ensure smooth service delivery.
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