Job Description

Responsibilities

  • Perform daily bookkeeping, ensuring accurate and timely recording of transactions based on standardised processes.
  • Reconcile bank statements (on a daily basis) for funds and related entities, prioritising key transactions.
  • Process and review vendor invoices, ensuring accurate classification and compliance with internal guidelines.
  • Assist in preparing NAV packages, Capital Account Statements (CAS), and Quarterly Reports (QR) using the fundcraft platform, ensuring accuracy and compliance with fund standards.
  • Provide documentation and support for audits, ensuring compliance with Limited Partnership Agreements (LPA) and internal policies.
  • Organise and maintain financial records in the fundcraft platform, extract and review accounting data, and support team members in delivering high-quality accounting outputs.

Requirements

  • University degree in Business Administration, Ec...

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