16 Sep
|
Jobtailor
|
Winnipeg
16 Sep
Jobtailor
Winnipeg
Lead the full-cycle NAV production process for a private equity client portfolio
Act as the main point of contact to manage multiple client relationships
Prepare and/or review net asset value calculations
Record capital activity, including capital calls and distributions
Record cash activity and perform cash reconciliations
Record and reconcile investment trading activity
Price portfolios, including derivatives, stocks, and bonds, in accordance with funds’ offering documents
Accrue fund income and expenses, including management and performance fees, in accordance with relevant accounting standards
Prepare investor statements and contract notes
Prepare financial statements
Coordinate year-end audit and tax reporting requests with clients and auditors
Respond to ad-hoc client reporting requests
Manage time and workload to meet internal and external deadlines
Manage client inboxes and respond to queries professionally and promptly
Prioritize client and internal requests and escalated matters to the Manager when required
Independently problem solve and provide suggestions or solutions to the Manager
Requirements
Prior fund accounting experience/FS audit experience of at least 1-2 years is required
Knowledge of closed ended funds desired but not required
Accounting designation desired, but not required
Strong knowledge of accounting concepts
Robust knowledge of Microsoft Excel
Solid interpersonal and communication skills
Strong organizational skills
Ability to handle multiple demands, competing priorities, and constant change
Ability to allocate time effectively and manage tight deadlines
Prior experience with PFS-Paxus is desired, but not required
Core Competencies Demonstrates expertise in fund accounting processes, including net asset value calculations, cash reconciliations, and financial statement preparation. Strong ability to manage client relationships and meet tight deadlines while maintaining high organizational standards.
Highest-signal resume keywords
Fund Accounting Experience
Net Asset Value Calculations
Microsoft Excel Proficiency
Interpersonal Communication Skills
Organizational Skills
Hard Skills
Net Asset Value Calculations
Cash Reconciliation
Financial Statement Preparation
Accrual Accounting
Investment Trading Activity Recording
Portfolio Pricing
Capital Activity Recording
Client Reporting
Audit Coordination
Problem Solving
Soft Skills
Interpersonal Skills
Communication Skills
Organizational Skills
Time Management
Adaptability
Industry Keywords
Private Equity
Closed Ended Funds
Accounting Standards
Client Relationship Management
Performance Fees
Tools & Technologies
PFS-Paxus
Microsoft Excel
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📌 Senior Fund Accountant, Private Equity (Winnipeg)
🏢 Jobtailor
📍 Winnipeg