Fund Accountant - #2087298
Meraki Talent Limited
Date: 13 hours ago
City: Glasgow
Contract type: Full time
Work schedule: Full day
Due to an enhanced period of growth, Meraki Talent are seeking an experienced Fund Accountant for a newly created position within the heart of Glasgow’s Financial Services district.
As a Fund Accountant, you will be responsible for maintaining accurate financial records for investment and hedge funds, ensuring compliance with regulatory requirements, and providing timely reporting to stakeholders. You will play a crucial role in the financial operations of the fund, including calculating net asset values (NAVs), reconciling transactions, and preparing financial statements. This position requires attention to detail, analytical skills, and a solid understanding of accounting principles and financial markets.
Responsibilities:
Net Asset Value Calculation:
Apply Now
Is this job for you? At Meraki, we love recruitment and love words. Is this you?
Jennifer wants: Fund Accountant, Fund Accounting, NAV, Reporting, IFRS
'By submitting your information, you confirm you have read and understood our Privacy Notice which outlines how we use information we collect about you.”
Please see our website page headed ‘Privacy Notice’ for an explanation about how we use information we collect about you’
As a Fund Accountant, you will be responsible for maintaining accurate financial records for investment and hedge funds, ensuring compliance with regulatory requirements, and providing timely reporting to stakeholders. You will play a crucial role in the financial operations of the fund, including calculating net asset values (NAVs), reconciling transactions, and preparing financial statements. This position requires attention to detail, analytical skills, and a solid understanding of accounting principles and financial markets.
Responsibilities:
Net Asset Value Calculation:
- Calculate daily, weekly, or monthly net asset values (NAVs) for investment funds.
- Reconcile cash, positions, and market values to ensure accuracy in NAV calculations.
- Investigate and resolve any discrepancies in NAV calculations.
- Prepare financial statements, including income statements, balance sheets, and cash flow statements, in accordance with regulatory standards and fund requirements.
- Generate performance reports and other ad-hoc financial reports for internal and external stakeholders.
- Ensure timely and accurate delivery of financial reports to clients and regulatory authorities.
- Conduct daily reconciliations of investment transactions, cash movements, and positions.
- Investigate and resolve discrepancies between accounting records and external sources, such as brokers and custodians.
- Implement controls to mitigate operational risks and ensure compliance with regulatory requirements.
- Assist auditors in the annual audit process by providing documentation, explanations, and support as needed.
- Respond to audit queries and address any findings or recommendations for improvement.
- Stay informed about regulatory changes impacting fund accounting and reporting.
- Ensure compliance with applicable accounting standards (e.g., GAAP, IFRS) and regulatory requirements (e.g., SEC, IRS).
- Identify opportunities to streamline and improve fund accounting processes.
- Implement automation and efficiency enhancements to increase accuracy and reduce manual effort.
- Participate in projects aimed at enhancing systems and technology infrastructure for fund accounting.
- Bachelor’s degree in Accounting & Finance
- Ideally ACCA Qualified
- Previous experience in fund accounting, preferably within the asset management or investment industry.
- Strong understanding of accounting principles and financial instruments (e.g., equities, fixed income, derivatives).
- Proficiency in accounting software and financial reporting tools
- Excellent analytical skills with attention to detail and accuracy.
- Ability to prioritize tasks and work effectively in a fast-paced environment with tight deadlines.
- Strong communication and interpersonal skills, with the ability to collaborate effectively with team members and stakeholders.
Apply Now
Is this job for you? At Meraki, we love recruitment and love words. Is this you?
Jennifer wants: Fund Accountant, Fund Accounting, NAV, Reporting, IFRS
'By submitting your information, you confirm you have read and understood our Privacy Notice which outlines how we use information we collect about you.”
Please see our website page headed ‘Privacy Notice’ for an explanation about how we use information we collect about you’
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