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  • Posted: Nov 16, 2022
    Deadline: Not specified
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    TMF Group is a leading provider of critical administrative services, helping clients invest and operate safely around the world. We are a key part of our clients’ governance, providing them with critical administrative services that allow them to invest and operate safely around the world. We make a complex world simple for them, with experts on...
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    Supervisor Fund Accounting

    TMF Fund Services is an independent alternative fund administrator with over two decades of experience in providing an extensive range of services, coupled with a very personal approach. We combine our technology, expertise and global infrastructure to deliver a customized package of services to our clients. These include: Fund Administration, Investor Services, Portfolio & Managed Account Services, Depositary and Corporate Services.

    Key Responsibilities

    • Lead the onboarding of new clients, unpack and define new client delivery, responsible for the implementation of fund structures onto the accounting system.
    • Review NAVs for alternative investment funds (private equity, real estate, debt, other alternatives), which are domiciled in recognized fund jurisdictions.
    • Responsible for review of all fund accounting and related deliverables such as analysis, maintaining and controlling the general ledger and various sub-ledgers, processing of transactions, rebalances, waterfalls, fee calculations, hedging, loans, recording calls and distributions, various ad hoc client reporting
    • Review of limited partner and general partner allocations
    • Review of annual financial statements, footnotes and partner capital statements, assist in client audit procedures
    • Responsible for the timing and quality of client deliverables
    • Responsible for the compliance of various agreements with clients, including the Service Level Agreement
    • Provide supervision, training and guidance to team members focusing on task performance, support work allocation and capacity planning

    Requirements

    • At least 5-10 years’ experience in Fund accounting for Alternative Funds (Private Equity, Real Estate, Private Debt)
    • A degree in Accounting – ideally ACCA, CA, CFA or other similar level qualification 
    • Good knowledge of IFRS and ideally other GAAPs
    • At least 3 years’ extensive experience in reviewing and preparing general ledgers and financial statements for Alternative Funds
    • Knowledge of Investran and/or Yardi– this would be considered as advantage
    • Familiarity with tax-efficient European fund structures and related investment vehicles and regulatory requirements – this would be considered as advantage
    • Other characteristics: accurate, self-motivated and able to work both independently and as part of a team, deadline driven and able to maintain a portfolio of clients

    What's in it for you?

    • An exciting opportunity in an international company
    • Professional development opportunities as well as extensive individual further training opportunities, supported by our TMF Business Academy
    • A career within an ever evolving market
    • Flat hierarchies with direct contact to management and international exchange
    • Want to know more about a career with TMF Group? Watch this video: 

    Method of Application

    Interested and qualified? Go to TMF Group on careers.tmf-group.com to apply

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