Fund Services Officer - 基金会计 NJ (职位编号:AD001)
6000-9000元
应届毕业生
学历不限
职位描述
JOB DESCRIPTION:
You will be responsible for assisting with the accounting and administration of a portfolio of private equity and real estate clients, working together with your colleagues in the Asia-Pacific region. Specific responsibilities include the following:
1.Taking care of the day-to-day accounting for the funds;
2.Preparing the funds’ periodic Net Asset Value calculation and year-end financial statements, assistance with the audit preparation process, and reviewing other fund related reports;
3.Handling the fund accounts and preparation of periodic reports and regulatory reports for the fund entities;
4.Supporting Senior Officers and Managers in ensuring quality work is delivered to the client;
5.Learning and implementing best-practice use of private equity and real estate accounting software, reporting, and other tools;
6.Pro-actively take on additional responsibilities and tasks as required from time-to-time by your Senior Officers, Managers or clients.
YOUR PROFILE:
1.Strong academic background;
2.Newly qualified or partially qualified Accountant (e.g. ISCA/ACCA/CPAA/AICPA/CIMA);
3.Prior knowledge or experience of working in financial services, especially with alternative investment funds (including Private Equity and Real Estate funds) is a strong plus;
4.You are fluent in written and spoken English. Fluency in Japanese or Korean will be considered as an asset;
5.You possess team spirit with the ability to work independently using your own initiative when appropriate;
6.Ability to work under pressure and meet a range of deadlines;
7.Ability to communicate and collaborate with international colleagues;
8.You are mature, and detail-oriented;
9.High level of IT literacy with strong MS Office skills, especially in Excel and Word;
10.Knowledge of eFront or Yardi systems would be a distinct advantage.
You will be responsible for assisting with the accounting and administration of a portfolio of private equity and real estate clients, working together with your colleagues in the Asia-Pacific region. Specific responsibilities include the following:
1.Taking care of the day-to-day accounting for the funds;
2.Preparing the funds’ periodic Net Asset Value calculation and year-end financial statements, assistance with the audit preparation process, and reviewing other fund related reports;
3.Handling the fund accounts and preparation of periodic reports and regulatory reports for the fund entities;
4.Supporting Senior Officers and Managers in ensuring quality work is delivered to the client;
5.Learning and implementing best-practice use of private equity and real estate accounting software, reporting, and other tools;
6.Pro-actively take on additional responsibilities and tasks as required from time-to-time by your Senior Officers, Managers or clients.
YOUR PROFILE:
1.Strong academic background;
2.Newly qualified or partially qualified Accountant (e.g. ISCA/ACCA/CPAA/AICPA/CIMA);
3.Prior knowledge or experience of working in financial services, especially with alternative investment funds (including Private Equity and Real Estate funds) is a strong plus;
4.You are fluent in written and spoken English. Fluency in Japanese or Korean will be considered as an asset;
5.You possess team spirit with the ability to work independently using your own initiative when appropriate;
6.Ability to work under pressure and meet a range of deadlines;
7.Ability to communicate and collaborate with international colleagues;
8.You are mature, and detail-oriented;
9.High level of IT literacy with strong MS Office skills, especially in Excel and Word;
10.Knowledge of eFront or Yardi systems would be a distinct advantage.
联系方式
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