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Fund Accountant

  • Plaine Wilhems
  • Negotiable
  • Permanent
  • Added 06/03/2026 
  • Closing 05/04/2026
  • Juela Lutchumun
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The Fund Accountant is responsible for the day-to-day accounting and financial reporting of investment funds managed by the Company.

 

Key Responsibilities

Fund Accounting & NAV Preparation

  • Prepare periodic Net Asset Value (NAV) calculations in accordance with fund documentation and accounting standards
  • Record investment transactions, income, expenses, and accruals accurately and on a timely basis
  • Perform cash and position reconciliations with banks, custodians, and brokers
  • Assist with valuation of portfolio investments and pricing checks

Financial Reporting

  • Prepare monthly, quarterly, and annual fund financial reports
  • Support the preparation of annual audited financial statements
  • Maintain supporting schedules and audit documentation
  • Assist with responses to audit queries

Investor & Client Reporting

  • Prepare investor statements, capital account statements, and distribution calculations
  • Support investor onboarding from an accounting perspective
  • Assist in responding to investor and client queries

Compliance & Controls

  • Ensure compliance with internal policies, procedures, and fund documentation
  • Maintain accurate books, records, and audit trails
  • Support regulatory reporting and filings as required
  • Escalate errors, discrepancies, or issues to senior team members promptly

Systems & Process Support

  • Maintain data in fund accounting systems and spreadsheets
  • Assist with process improvements and automation initiatives
  • Follow established procedures and contribute to the ongoing enhancement

Spearfin Ltd

 

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