- Kuala Lumpur Federal Territory Malaysia
Working Location
Job Description
Requirements
Knowledge: Extensive knowledge of accounting standards (MFRS, IFRS) and asset management regulatory requirements, with proficiency in local regulations like Securities Commission guidelines, tax compliance for investment funds, income distribution processes, and investor reporting duties.
Skills: Demonstrates strong attention to detail, analytical problem-solving, and effective communication skills, combined with the ability to thrive under pressure, meet tight deadlines, and manage multiple priorities. Excels in fostering collaboration with internal teams such as Finance, Investment Operations, Investment and Customer Service, as well as external partners like bankers, custodians, and auditors.
Experiences: Minimum of 2-4 years of experience in fund accounting or related roles within asset management or financial services, with expertise in NAV calculations, securities pricing, financial reporting, and familiarity with auditing processes and collaboration with external auditors and tax agents.
Education: Bachelor’s degree in Accounting, Finance, or a related field. Professional certifications such as CPA, ACCA, CIMA or CFA are highly desirable.
Responsibilities
JOB SUMMARY / JOB PURPOSE
The Fund Accountant is a critical member of the Fund Accounting department within our company, responsible for ensuring the accuracy and integrity of financial records for investment funds. This role involves performing daily valuation and pricing tasks, preparing financial and regulatory reports, managing cash reconciliations, and supporting investor services. The Fund Accountant ensures compliance with accounting standards (e.g. MFRS, IFRS) and regulatory requirements while delivering timely and accurate reporting to clients, management, and stakeholders. The ideal candidate is detail-oriented, analytical, and possesses strong knowledge of fund accounting processes and financial instruments.
Key Responsibilty
Fund Valuation & Pricing:
Financial Reporting & Compliance:
Cash Management & Reconciliation:
Transaction Processing & Journal Entries:
Investor Services & Client Reporting:
Risk Management & Internal Controls:
Additional Responsibilities:
Flexible Task Assignment:
Important Information
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