Job Description
You'll take full ownership of elements of management, statutory and regulatory reporting, as well as helping to manage the day to day operations of the funds. You'll be a self-starter, comfortable working individually on projects or collaboratively within a team, and someone who will be able to demonstrate strong organizational skills to manage multiple work streams.
Responsibilities:
- Develop and maintain a good understanding of the company and a strong working knowledge of their portfolios
- Develop a broad understanding of other funds
- Maintain good working relationships with the senior accountant, investment operations, Company Secretariat and other teams both within company and externally, contributing to the seamless management of the funds.
- Preparation of month end journals and management accounts, including calculation of management fees and balance sheet reconciliations.
- Posting include accruals, prepayments, interest calculations etc.
- Managing Invoice inbox, ensure invoices are recorded, paid and recharged correctly
- Review and post cash journals across multiple entities
- Assist in preparation of board reports and interim/annual accounts
- Prepare cash flow forecasting to assist decision making
- Other month end tasks as required
- Liaise with auditors and provide information requested
- Processing invoices for payment
- Support other entities as required
- Adhoc queries as required