Job Description

Key Responsibilities:



  • Assist team leader/manager in the production of the daily/monthly/quarterly fund NAV

  • Ensure timely accounting and operational deliveries to clients

  • Ensure that accounting standards and relevant regulatory requirements/criteria are met

  • Perform internal audit of compliance, investors due diligence and KYC

  • For senior fund accountant – to coach junior fund accountants in deliverables

  • Other ad-hoc duties as per requirement