Baxian (Malaysia) Sdn BhdBangsar, Kuala Lumpur, Malaysia
1 day ago
Job description
Job Description
Duties include but not limited to :
Provide high quality efficient back office support service for the offices within the Group;
Perform the administration of and any services pursuant to administration agreements in respect of a portfolio of hedge funds, private equity and unit trust funds;
Perform trade upload, reconciliation, valuation and fee calculations for various fund types.
Prepare periodic Net Asset Valuation (NAV) calculations, financial statements and associated reports;
Meet expectations of fund participants and adhere to deadlines;
Actively review and / or sign off on standard controls including : cash and asset reconciliation; and
Preparation of draft audited financial statements, preferably for fund companies.
Liaise and resolve audit queries with fund auditors.
Requirements
Degree in Accountancy or business-related disciplines with accounting professional certificate preferred.
At least 1 year relevant working experience in accounting or audit function is a must.
Experience in preparation and / or audit of audited financial statements is a must. Familiarity with common auditing standards is preferred.
Sound knowledge of financial instruments, international accounting standards and fund practices.