Responsible to onboard new clients and set-up new funds and fund structures into the accounting system in accordance to governing documents (i.e., PPM, LPA, etc).
Responsible for providing quality accounting/bookkeeping and fund administration service for closed-ended/evergreen Alternative Investments Funds (Private equity/Venture Capital/Real Estate and Fund-of funds) including family offices (the "Funds").
Preparation of monthly/quarterly/semi-annual/annual/ Net Asset Value (the "NAV") reporting pack which includes:
Trial balances and general ledgers.
Cash and investment portfolio reconciliation.
Expenses accruals (Fund-related expenses, Fund Administration fees, Management fees, etc).
Calculation of (i) Performance fees: incentives fees, carried interests, and/or distribution waterfall and (ii) Clawback calculations, etc.
Invoice processing (including handling client's payments and receipts).
Dividend and interest accruals.
Partners' capital statements, management accounts and other deliverables (if required)-Knowing consolidation, a plus.
Drafting of financial statements and related International Financial Reporting Standards ("IFRS") disclosures in accordance with audit standards.
Facilitate annual audits of the Funds and liaise with the auditors to ensure timely completion of audit.
Assist senior fund accountants to take care of day-to-day operation of the funds which includes resolving accounting issues and client service matters.
Transfer Agency Services
Responsible for the maintenance of the shareholder/investor register.
Prepare capital call/distribution/redemption/conversion/share transfer calculations and process these in a timely manner.
Co-ordinate documentation for capital activities to ensure AML compliance alongside AML analyst.
Management of commitment agreements and subscription forms including monitoring of commitments, drawdowns, and uncalled commitments.