Key Responsibilities:
Maintain full sets of accounts for fund management companies, investment holding companies and family offices
Record investment transactions, including purchases, disposals, dividends, interest income and related expenses
Perform bank, custodian, brokerage and investment portfolio reconciliations
Assist with NAV calculations, portfolio reporting and management accounts
Prepare monthly, quarterly and annual financial reports
Assist with consolidation and intercompany reconciliations
Support GST, corporate tax, audit and statutory reporting matters
Assist with MAS regulatory reporting and compliance-related submissions
Liaise with clients, fund administrators, banks, auditors, tax agents and other service providers
Maintain proper accounting schedules and supporting documents
Perform other accounting and administrative duties as assigned
Requirements:
Diploma or Degree in Accounting, Finance or a related discipline
Fresh graduates or candidates with up to two years of relevant experience are welcome
An interest in fund accounting, investment management or family office operations
Basic understanding of financial instruments and investment transactions is an advantage
Proficiency in Microsoft Excel and accounting software
Strong attention to detail and willingness to learn
Good communication, organisational and time-management skills
Able to work independently and meet deadlines
What We Offer:
Exposure to fund management and family office structures
Practical experience in investment accounting and financial reporting
Training and guidance from experienced team members
Career development and progression opportunities
Supportive and collaborative working environment