About this role
Responsibilities: Handle Fund operations, including fund subscriptions and redemptions, corporate action, documentation, transaction execution, and regulatory compliance. Deliver accurate NAV calculation, investor reports, forecasts on timely basis Support various funds, Hedge Funds , Cayman Funds/VCC structure, fund setup in FA and TA system. Monitors cash flows, expenses and fee calculations (performance fees, etc).Must be able to understand the different fund calculation based on investrors' returns using equalization or series accounting methods. Manage coordination with investors, fund managers, auditors, legal advisors, custodians, and other external stakeholders. Manage the accounting of SPV and assist in FATCA/CRS reporting for client. Ensure adherence to internal controls and regulatory requirements (e.g., ACRA, IRAS, MAS). Manage investor communications and handle inquiries relating to portfolio under administration and transfer agency register. Maintain up-to-date fund records and support audit and tax process pertaining to portfolio under administration. Requirements: Bachelor Degree in Accounting, Finance or relevant discipline. Qualified Accountant (e.g. ISCA/ACCA/CPA), working towards a CPA qualification or recently completed qualification examinations will be a PLUS Good understanding of various accounting standards (US GAAP, IFRS, etc). At least 2 years of experience in fund administration or with licensed fund management company or fund administration company Strong knowledge of investment product like securities, fixed income, FX, Repo and derivatives product like futures, options, etc. Strong technical knowledge of fund administration and fund operation requirements Familiarity with fund accounting systems like Multifond and Microsoft Office; VBA skills are a plus. Experience with using Bloomberg Meticulous and able to manage multiple tasks efficiently. Able to work in a team to support team objectives and meet team target. Excellent organizational, communication, and stakeholder management abilities. Flexible and adaptable in a dynamic, fast-paced working environment. Upholds high ethical standards in handling confidential and sensitive information.
What they're looking for
IFRSReturn on InvestmentAsset ManagementDerivatives
About Greenlane Private Ltd.
Industry: Administrative & support servicesWebsite ↗
Frequently asked questions
What does a Fund Accounting & Fund Operations Analyst (Asset Management, Bank) at Greenlane Private Ltd. do?
Responsibilities: Handle Fund operations, including fund subscriptions and redemptions, corporate action, documentation, transaction execution, and regulatory compliance. Deliver accurate NAV calculation, investor reports, forecasts on timely basis Support various funds, Hedge Funds , Cayman Funds/V…
What skills does this Fund Accounting & Fund Operations Analyst (Asset Management, Bank) role need?
Key skills for this role include IFRS, Return on Investment, Asset Management, Derivatives.
How much does a Fund Accounting & Fund Operations Analyst (Asset Management, Bank) at Greenlane Private Ltd. pay?
This role lists a salary of S$6,000 – S$8,000 per month.
Is this Fund Accounting & Fund Operations Analyst (Asset Management, Bank) role remote, hybrid, or on-site?
The listing is based in Islandwide. Check the posting for remote or hybrid options.
How do I apply for this Fund Accounting & Fund Operations Analyst (Asset Management, Bank) role?
You can apply directly on Greenlane Private Ltd.'s careers page. ApplyLah can tailor your résumé and cover letter to this exact role in seconds first.
