Fund Accountant for Citco managing trade and non-trade transactions along with client communication. Responsible for cash reconciliations, NAV packages, and financial statements preparation.
Responsibilities
You will record trade and non-trade transactions in custody and accounting systems
Liaise with other Citco groups and/or external parties for information and documents
Perform cash and position reconciliations
Monitor and analyze portfolio pricing
Calculate and book fee accruals
Prepare NAV packages and financial statements
Prepare ad hoc reporting in line with client and internal requirements
Demonstrate ownership of assigned tasks and ensure timely completion, in line with demanding Service Level Agreements
Maintain a thorough understanding of applicable best practice policies and client-specific agreements
Work with clients and other Citco Offices and Fund Accountants to resolve issues
Perform other tasks as required by Seniors, Supervisors and/or Managers
Requirements
You have a Bachelor’s degree in accounting, finance or management
Relevant professional designation is an advantage (CPA, CFA, CMA)
Experience in Financial Services with high volume operational environment and/or knowledge of fund accounting or hedge fund industry is a plus
Willing to work on shifting schedule
Proficient in MS Excel is an advantage
Highly organized and detail-oriented
Proactive, team-oriented and results-driven
Good interpersonal and client service skills
Benefits
Your well-being is of paramount importance to us, and central to our success. We provide a range of benefits, training and education support, and flexible working arrangements to help you achieve success in your career while balancing personal needs. Ask us about specific benefits in your location.
We embrace diversity, prioritizing the hiring of people from diverse backgrounds. Our inclusive culture is a source of pride and strength, fostering innovation and mutual respect.
Citco welcomes and encourages applications from people with disabilities. Accommodations are available upon request for candidates taking part in all aspects of the selection.
Tax Accountant preparing and submitting VAT and sales tax returns for Nord Security. Collaborating with external partners on compliance tasks and managing tax accounts in the general ledger.
Accountant responsible for financial reporting and analysis to support business insights at Australia's largest electrical wholesaler. Seeking commercially minded individuals with strong accounting skills.
Reinsurance Accountant ensuring reliability and technical management of reinsurance contracts at Marsh B.V. Collaborating with global teams and monitoring financial flows in Rotterdam.
International General Accountant in Finance at DentalMonitoring. Responsible for accounting compliance and reporting for US, Canada, and European entities.
Fund Accountant processing portfolio reconciliations, month - end shadow accounting, and non - trading activities for a leading financial services company in India.
Senior Accountant supporting Cornerstone Brands through balance sheet reconciliations and financial reporting for a Fortune 500 company. Collaborating with various departments and ensuring compliance with accounting principles.
General Ledger Accountant managing technical accounting services and financial reporting processes at IQVIA. Supporting month - end processes and ensuring compliance with accounting regulations.
Cost Accountant managing monthly inventory valuation and forecasting for global mining equipment company. Analyzing manufacturing costs and reporting profitability metrics to management.
Senior Accountant preparing accounting workpapers and financial statements at Lexeo Therapeutics. Contributing to advancements in cardiac genetic medicine with a focus on compliance and audit support.
Staff Accountant responsible for managing accounting functions for the Durham Bulls and related entities. Involves ticket, food, beverage accounting, and assisting with month - end closures.